Explores the nature of financial crises, their predictability, and historical examples, emphasizing lessons learned from the global financial crisis of 2007-2009.
Explores the Global Financial Crisis of 2008-09, unconventional monetary policies, interbank market pressures, and concepts like Purchasing Power Parity.
Covers credit risk structuring, bank capital ratios, funding determinants, and optimal capital structure, emphasizing interbank lending and covered bonds.
Explores the effects of a permanent increase in money supply on short- and long-run equilibrium and discusses empirical evidence on the Fisher relationship.
Discusses key contracts in business law, including leases, loans, and employment agreements, focusing on their definitions, risks, and protections for involved parties.