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Description
The aim of this group is to bring together members of the policy, academic and market communities to present and discuss research and analysis on financial stability and related regulatory issues.
Topics may include: theory and analysis of financial crises, bank failures, financial-market volatility, financial fragility in the household and corporate sectors, macroprudential indicators and financial regulation against systemic risks. The group is
currently co-ordinated in Economics and Finance, School of Social Sciences, Brunel University West London by
Professor E Philip Davis.