The Stock Market: Bubbles, Volatility, and Chaos: Proceedings of the Thirteenth Annual Economic Policy Conference of the Federal Reserve Bank of St. Louis
Book information
Description
Gerald P. Dwyer, Jr. and R. W. Hafer The articles and commentaries included in this volume were presented at the Federal Reserve Bank of St. Louis' thirteenth annual economic policy conference, held on October 21-22, 1988. The conference focused on the behavior of asset market prices, a topic of increasing interest to both the popular press and to academic journals as the bull market of the 1980s continued. The events that transpired during October, 1987, both in the United States and abroad, provide an informative setting to test alter native theories. In assembling the papers presented during this conference, we asked the authors to explore the issue of asset pricing and financial market behavior from several vantages. Was the crash evidence of the bursting of a speculative bubble? Do we know enough about the work ings of asset markets to hazard an intelligent guess why they dropped so dramatically in such a brief time? Do we know enough to propose regulatory changes that will prevent any such occurrence in the future, or do we want to even if we can? We think that the articles and commentaries contained in this volume provide significant insight to inform and to answer such questions. The article by Behzad Diba surveys existing theoretical and empirical research on rational bubbles in asset prices.
Similar books
Audit Committee Essentials: Theoretische und regulatorische Grundlagen zur Einrichtung und Ausgestaltung
2014 · PDF
Financial Modernization and Regulation: A Special Issue of the Journal of Financial Services Research
2000 · PDF
Learning from the World’s Best Central Bankers: Principles and Policies for Subduing Inflation
1998 · PDF
Zur Effektivität freiwilliger Devisenmarktinterventionen: Eine Analyse auf Basis des Mikrostrukturansatzes der Wechselkursentwicklung
2013 · PDF
Financial Intermediation in Europe
2002 · PDF
Risk Management in Volatile Financial Markets
1996 · PDF
The Causes and Costs of Depository Institution Failures
1995 · PDF
Coping with Financial Fragility and Systemic Risk
1995 · PDF