Risk Management during the Financial Crisis Cover Image

Risk Management during the Financial Crisis
Risk Management during the Financial Crisis

Author(s): Sorin Cristian Nita
Subject(s): Business Economy / Management, Economic policy, Political economy, Financial Markets
Published by: EDITURA ASE
Keywords: GDP; Financial Crisis; Risk management; Fiscal Policy; Monetary Policy;

Summary/Abstract: The 2008 financial crisis has made a lot of waves in both the political and economic environment. Actors on both scenes have argued on the reasons for which the financial crisis has started. The crisis was not generated by one, but my a multitude of factors, one of them being excessive risk taking behaviour exhibited by the managers in order to obtain short term profits. This behaviour was actually encouraged by various factors which will be discussed during in this working paper together with an analysis of the phenomenon that generated the financial crisis which spread panic in the financial sector

  • Issue Year: 20/2019
  • Issue No: 1
  • Page Range: 100-105
  • Page Count: 6
  • Language: English