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The Finance Crisis and Rescue: What Went Wrong? Why? What Lessons Can Be Learned? Expert Views from the Rotman School of Management - Rotman School of Management December 1, 2008 PDF  BOOKS
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The Finance Crisis and Rescue: What Went Wrong? Why? What Lessons Can Be Learned? Expert Views from the Rotman School of Management
Author: Rotman School of Management
Year: December 1, 2008
Format: PDF
File size: PDF 480 KB
Language: English



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The Finance Crisis and Rescue: What Went Wrong, Why, and Lessons Learned Introduction: The global financial crisis of 2008 had a profound impact on the world, leaving no one untouched. However, the root causes of this crisis and its potential cures are still not well understood by many. In this book, "The Finance Crisis and Rescue experts from the University of Toronto's Rotman School of Management provide a comprehensive analysis of what went wrong, why, and the lessons that can be learned from these events. This compilation of essays offers a multifaceted perspective on the crisis, covering topics such as structured finance, behavioral finance, value investing, pension plans, risk management, corporate governance, and public policy. Chapter 1: The Root Causes of the Financial Crisis The first chapter delves into the underlying factors that led to the financial crisis. The authors argue that the crisis was caused by a combination of factors, including the failure of financial institutions to properly assess risk, the proliferation of complex financial instruments, and the lack of effective regulation.
Финансовый кризис и спасение: что пошло не так, почему и извлеченные уроки Введение: Глобальный финансовый кризис 2008 года оказал глубокое влияние на мир, не оставив никого нетронутым. Однако первопричины этого кризиса и его потенциальные лекарства до сих пор не до конца понятны многим. В этой книге эксперты «The Finance Crisis and Rescue» из Школы менеджмента Ротмана Торонтского университета дают всесторонний анализ того, что пошло не так, почему, и уроки, которые можно извлечь из этих событий. Эта подборка эссе предлагает многогранный взгляд на кризис, охватывающий такие темы, как структурированное финансирование, поведенческие финансы, стоимостное инвестирование, пенсионные планы, управление рисками, корпоративное управление и государственная политика. Глава 1: Коренные причины финансового кризиса В первой главе рассматриваются основные факторы, которые привели к финансовому кризису. Авторы утверждают, что кризис был вызван совокупностью факторов, включая неспособность финансовых организаций должным образом оценить риск, распространение сложных финансовых инструментов и отсутствие эффективного регулирования.
Crise financière et sauvetage : ce qui a mal tourné, pourquoi et leçons apprises Introduction : La crise financière mondiale de 2008 a eu un impact profond sur le monde sans laisser personne intact. Cependant, les causes profondes de cette crise et ses remèdes potentiels ne sont pas encore pleinement compris par beaucoup. Dans ce livre, les experts de l'École de gestion Rotman de l'Université de Toronto, The Finance Crisis and Rescue, fournissent une analyse complète de ce qui a mal tourné, pourquoi, et des leçons qui peuvent être tirées de ces événements. Cette compilation d'essais offre une vision multidimensionnelle de la crise, couvrant des sujets tels que la finance structurée, la finance comportementale, l'investissement en valeur, les régimes de retraite, la gestion des risques, la gouvernance d'entreprise et les politiques publiques. Chapitre 1 : s causes profondes de la crise financière premier chapitre traite des principaux facteurs qui ont conduit à la crise financière. s auteurs affirment que la crise a été causée par un ensemble de facteurs, y compris l'incapacité des institutions financières à évaluer correctement les risques, la prolifération d'instruments financiers complexes et l'absence de réglementation efficace.
Crisis financiera y rescate: qué salió mal, por qué y lecciones aprendidas Introducción: La crisis financiera global de 2008 tuvo un profundo impacto en el mundo sin dejar a nadie intacto. n embargo, las causas profundas de esta crisis y sus posibles medicamentos todavía no son plenamente comprendidas por muchos. En este libro, los expertos de «The Finance Crisis and Rescue» de la Escuela Rothman de Administración de la Universidad de Toronto ofrecen un análisis exhaustivo de lo que salió mal, por qué y las lecciones que se pueden aprender de estos eventos. Esta selección de ensayos ofrece una visión multifacética de la crisis, que abarca temas como financiación estructurada, finanzas de comportamiento, inversión de valor, planes de pensiones, gestión de riesgos, gobierno corporativo y políticas públicas. Capítulo 1: causas profundas de la crisis financiera En el primer capítulo se examinan los principales factores que condujeron a la crisis financiera. autores sostienen que la crisis se debió a una combinación de factores, entre ellos la incapacidad de las entidades financieras para evaluar adecuadamente el riesgo, la proliferación de instrumentos financieros complejos y la falta de una regulación eficaz.
Crise financeira e resgate: o que correu mal, porquê e as lições aprendidas Introdução: A crise financeira global de 2008 teve um impacto profundo no mundo sem deixar ninguém intacto. No entanto, as causas primárias desta crise e seus medicamentos potenciais ainda não são totalmente compreendidos por muitos. Neste livro, os especialistas da Escola de Gestão Rothman da Universidade de Toronto analisam o que correu mal, o porquê e as lições que podem ser aprendidas com estes acontecimentos. Este ensaio oferece uma visão multifacetada da crise, que abrange temas como financiamento estruturado, finanças comportamentais, investimento em valor, planos de pensão, gestão de riscos, governança corporativa e políticas públicas. Capítulo 1: As causas profundas da crise financeira O primeiro capítulo aborda os principais fatores que levaram à crise financeira. Os autores afirmam que a crise foi causada por um conjunto de fatores, incluindo a incapacidade das instituições financeiras de avaliar adequadamente o risco, a proliferação de instrumentos financeiros complexos e a falta de regulação eficaz.
Finanzkrise und Rettung: Was schiefgelaufen ist, warum und ssons arned Einleitung: Die globale Finanzkrise von 2008 hatte tiefgreifende Auswirkungen auf die Welt und ließ niemanden unberührt. Die Ursachen dieser Krise und ihre potenziellen Medikamente sind jedoch für viele noch nicht vollständig verstanden. In diesem Buch geben die Experten von The Finance Crisis and Rescue von der Rotman School of Management der University of Toronto eine umfassende Analyse dessen, was schief gelaufen ist, warum und welche hren aus diesen Ereignissen gezogen werden können. Diese Auswahl an Essays bietet einen facettenreichen Einblick in die Krise und deckt Themen wie strukturierte Finanzierung, Verhaltensfinanzierung, Value Investing, Altersvorsorge, Risikomanagement, Corporate Governance und öffentliche Ordnung ab. Kapitel 1: Die Ursachen der Finanzkrise Das erste Kapitel befasst sich mit den Hauptfaktoren, die zur Finanzkrise geführt haben. Die Autoren argumentieren, dass die Krise durch eine Reihe von Faktoren verursacht wurde, darunter die Unfähigkeit der Finanzinstitute, das Risiko richtig einzuschätzen, die Verbreitung komplexer Finanzinstrumente und das Fehlen einer wirksamen Regulierung.
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Finansal Kriz ve Kurtarma: Yanlış Giden Şey, Neden ve Çıkarılan Dersler Giriş: 2008 küresel finansal krizinin dünya üzerinde derin bir etkisi oldu ve kimseye dokunulmadı. Bununla birlikte, bu krizin temel nedenleri ve potansiyel ilaçları hala birçok kişi tarafından tam olarak anlaşılamamıştır. Bu kitapta, Toronto Üniversitesi Rotman Yönetim Okulu'ndaki Finans Krizi ve Kurtarma uzmanları, neyin yanlış gittiğini, neden ve bu olaylardan öğrenilebilecek derslerin kapsamlı bir analizini sunmaktadır. Bu makale koleksiyonu, yapılandırılmış finans, davranışsal finans, değer yatırımı, emeklilik planları, risk yönetimi, kurumsal yönetim ve kamu politikası gibi konuları kapsayan krize çok yönlü bir bakış açısı sunmaktadır. Bölüm 1: Finansal Krizin Temel Nedenleri Birinci bölüm finansal krize yol açan temel faktörleri inceler. Yazarlar, krize finansal kurumların riski doğru bir şekilde değerlendirememesi, karmaşık finansal araçların yayılması ve etkili düzenleme eksikliği gibi faktörlerin bir araya gelmesinin neden olduğunu savunuyorlar.
الأزمة المالية والإنقاذ: ما الخطأ الذي حدث، لماذا والدروس المستفادة مقدمة: كان للأزمة المالية العالمية لعام 2008 تأثير عميق على العالم، ولم يترك أحداً على حاله. ومع ذلك، فإن الأسباب الجذرية لهذه الأزمة وأدويتها المحتملة لا تزال غير مفهومة تماما لدى الكثيرين. في هذا الكتاب، يقدم خبراء من The Finance Crisis and Rescue في كلية روتمان للإدارة بجامعة تورنتو تحليلاً شاملاً لما حدث من خطأ ولماذا والدروس التي يمكن تعلمها من هذه الأحداث. تقدم مجموعة المقالات هذه منظورًا متعدد الأوجه للأزمة، حيث تغطي مواضيع مثل التمويل المنظم والتمويل السلوكي والاستثمار في القيمة وخطط التقاعد وإدارة المخاطر وحوكمة الشركات والسياسة العامة. الفصل 1: الأسباب الجذرية للأزمة المالية يبحث الفصل الأول العوامل الرئيسية التي أدت إلى الأزمة المالية. ويجادل صاحبا البلاغ بأن الأزمة نجمت عن مجموعة من العوامل، بما في ذلك عدم قدرة المؤسسات المالية على تقييم المخاطر بشكل صحيح، وانتشار الأدوات المالية المعقدة، والافتقار إلى تنظيم فعال.

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