Gli strumenti finanziari del dopo crisi

Translated title of the contribution: [Autom. eng. transl.] The financial instruments of the post crisis

Marco Ercole Oriani (Editor), Bruno Zanaboni (Editor)

Research output: Book/ReportOther report

Abstract

[Autom. eng. transl.] If innovation and financial engineering are not inherently dangerous, there is no doubt that certain principles of correct, healthy and prudent banking management cannot be abandoned to run after the illusory and imprudent chimera of easy short-term profits. Even if there is no tool that allows you to get through the crisis unscathed, it is essential to understand how the situation could evolve and how not to be caught by surprise. The post-crisis financial instruments lays bare the current crisis, explaining its dimensions and repercussions for states, companies and families. Then it outlines the possible future scenarios, declining for each of them the best investment strategies capable of facing an unexpected shock, as well as tactical measures or structural remodulations capable of minimizing negative results and anticipating the subsequent moves of the markets. An indispensable tool to understand where we are, what awaits us and how to best move in the still unknown post-crisis panorama
Translated title of the contribution[Autom. eng. transl.] The financial instruments of the post crisis
Original languageItalian
PublisherIl Sole 24 Ore
Number of pages234
ISBN (Print)978-88-6345-134-4
Publication statusPublished - 2011

Keywords

  • strumenti finanziari, dopo crisi

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