DiscoverAutumn 2009 | Public lectures and events | VideoManaging Risk and Behaviour in Financial Markets
Managing Risk and Behaviour in Financial Markets

Managing Risk and Behaviour in Financial Markets

Update: 2009-11-25
Share

Description

Contributor(s): Professor Julia Black, Professor Charles Goodhart, Professor Michael Power, Dr Paul Woolley | The consequences of banks' risk taking behaviour will be felt by the public finances of many countries for at least another generation. Risk taking behaviour is the lifeblood of financial markets. How can, and should, it be managed? Julia Black is professor of law at LSE. Charles Goodhart is professor emeritus of banking and finance at LSE. Michael Power is professor of accounting at LSE. Paul Woolley is senior fellow at LSE's Paul Woolley Centre for the Study of Capital Market Dysfunctionality.
Comments 
loading
00:00
00:00
1.0x

0.5x

0.8x

1.0x

1.25x

1.5x

2.0x

3.0x

Sleep Timer

Off

End of Episode

5 Minutes

10 Minutes

15 Minutes

30 Minutes

45 Minutes

60 Minutes

120 Minutes

Managing Risk and Behaviour in Financial Markets

Managing Risk and Behaviour in Financial Markets

Professor Julia Black, Professor Charles Goodhart, Professor Michael Power, Dr Paul Woolley