Items where department is "Systemic Risk Centre"

University Structure (106206) LSE (106206) Research Centres (22374) Financial Markets Group (1369) Systemic Risk Centre (300)
Number of items: 15.
Article
  • Chwieroth, Jeffrey, Danielsson, Jon (2013). Political challenges of the macroprudential agenda. VoxEU,
  • Danielsson, Jon (2013). Iceland’s post-Crisis economy: A myth or a miracle? VoxEU,
  • Danielsson, Jon (2013). The new market-risk regulations. VoxEU,
  • Danielsson, Jon, Koijen, Ralph S.J., Laeven, Roger, Perotti, Enrico (2013). Solvency II: three principles to respect. VoxEU,
  • Conference or Workshop Item
  • Danielsson, Jon (2013-04-12) Does risk forecasting help macroprudential policy makers? [Other]. Marie Curie ITN Conference on Financial Risk Management & Risk Reporting, Baden-Württemberg, Germany, DEU.
  • Danielsson, Jon (2013-06-20) Issues in empirically modelling systemic risk [Other]. 18th Annual Workshop on the Economic Science with Heterogeneous Interacting Agents, Reykjavik, Iceland, ISL.
  • Working paper
  • Adrian, Tobias, Shin, Hyun Song (2013). Procyclical leverage and value-at-risk. (Systemic Risk Centre Discussion Papers 1). Systemic Risk Centre, The London School of Economics and Political Science.
  • Buch, Claudia M., Neugebauer, Katja, Schröder, Christoph (2013). Changing forces of gravity: how the crisis affected international banking. (Discussion Paper 48/2013). Deutsche Bundesbank Research Centre, Deutsche Bundesbank.
  • Chen, Huaizhi, Cohen, Lauren, Lou, Dong (2013). Industry window dressing. (Financial Markets Group Discussion Papers 719). Financial Markets Group, The London School of Economics and Political Science. picture_as_pdf
  • Ellul, Andrew, Jotikasthira, Chotibhak, Lundblad, Christian T., Wang, Yihui (2013). Mark-to-market accounting and systemic risk: evidence from the insurance industry. (Systemic Risk Centre Discussion Papers 4). Systemic Risk Centre, The London School of Economics and Political Science.
  • Gale, Douglas, Gottardi, Piero (2013). Capital structure and investment dynamics with fire sales. (Systemic Risk Centre Discussion Papers 7). Systemic Risk Centre, The London School of Economics and Political Science.
  • Rahi, Rohit, Zigrand, Jean-Pierre (2013). Market quality and contagion in fragmented markets. (Systemic Risk Centre Discussion Papers 2). Systemic Risk Centre, The London School of Economics and Political Science.
  • Rahi, Rohit, Zigrand, Jean-Pierre (2013). Walrasian foundations for equilibria in segmented markets. (Systemic Risk Centre Discussion Papers 6). Systemic Risk Centre, The London School of Economics and Political Science.
  • Repullo, Rafael (2013). Cyclical adjustment of capital requirements: a simple framework. (Systemic Risk Centre Discussion Papers 3). Systemic Risk Centre, The London School of Economics and Political Science.
  • Shiryaev, Albert N., Zhitlukhin, M. V., Ziemba, William T. (2013). When to sell Apple and the NASDAQ? Trading bubbles with a stochastic disorder model. (Systemic Risk Centre Discussion Papers 5). Systemic Risk Centre, The London School of Economics and Political Science.