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This expert volume studies systemic financial risk through an emerging market perspective. It examines new risk facets like green finance, ESG resilience, and geopolitical spillovers in BRICS. The monograph details quantitative catastrophic risk models and analyzes Russian banking stability concerning household income and capital adequacy. Regulatory chapters cover macroprudential policies and evolving digital systemic risks.
By Panigrahi NirmaThis expert volume studies systemic financial risk through an emerging market perspective. It examines new risk facets like green finance, ESG resilience, and geopolitical spillovers in BRICS. The monograph details quantitative catastrophic risk models and analyzes Russian banking stability concerning household income and capital adequacy. Regulatory chapters cover macroprudential policies and evolving digital systemic risks.