The Risk Management Approach to Monetary Policy: Lessons from the Financial Crisis of 2007-2009

Marc D. Hayford, A. G. Malliaris

Research output: Chapter in Book/Report/Conference proceedingChapter

Original languageEnglish
Title of host publicationLessons from the Financial Crisis
Subtitle of host publicationCauses, Consequences, and Our Economic Future
PublisherJohn Wiley and Sons
Pages467-473
Number of pages7
ISBN (Print)9780470561775
DOIs
StatePublished - Nov 29 2011
Externally publishedYes

ASJC Scopus Subject Areas

  • General Economics,Econometrics and Finance

Keywords

  • Capitalist economies
  • Financial crisis
  • Global financial markets
  • Monetary policy
  • Risk management approach

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