NATIONAL BUREAU OF ECONOMIC RESEARCH
NATIONAL BUREAU OF ECONOMIC RESEARCH

Systemic Risk and Financial Innovation: Toward a “Unified” Approach

Henry T. C. Hu

Chapter in NBER book Quantifying Systemic Risk (2013), Joseph G. Haubrich and Andrew W. Lo, editors (p. 11 - 28)
Conference held November 6, 2009
Published in January 2013 by University of Chicago Press
© 2013 by the National Bureau of Economic Research

This chapter, which presents the keynote address during the National Bureau of Economic Research conference held in Cambridge, Massachusetts, on November 6, 2009, revolves around the following question: What is the proper approach for understanding the critical relationship between systemic risk and modern financial innovation? It explores a “unified” approach, one that comprehends the underlying innovation process and an eclecticism as to academic and local knowledge.

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This paper was revised on August 29, 2014

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Document Object Identifier (DOI): 10.7208/chicago/9780226921969.003.0002

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