Your browser does not support JavaScript.
Canadian Securities Course
CTRL
K
Canadian Securities Course
CSC Course & Quiz
Chapter 1: Introduction to the Canadian Financial System
Chapter 2: Financial Statements and Analysis
Chapter 3: Equity Securities
Chapter 4: Debt Securities
Chapter 5: Derivatives
Chapter 6: Mutual Funds and Exchange-Traded Funds (ETFs)
Chapter 7: Alternative Investments
Chapter 8: Portfolio Management
Chapter 9: Financial Planning and Advisory
Chapter 10: Risk Management and Insurance
Chapter 11: Economics and Financial Markets
Chapter 12: Behavioral Finance
Chapter 13: Ethical and Professional Standards
Chapter 14: Trading, Clearing, and Settlement
Chapter 15: Taxation in Investments
Chapter 16: Retirement and Estate Planning
Chapter 17: International Investments
Chapter 18: Financial Crises and Market Disruptions
Chapter 19: Fintech and Innovation in Finance
Chapter 20: Sustainable and Responsible Investing
Chapter 21: Compliance and Regulation
Chapter 22: Client Communications and Relationships
Chapter 23: Investment Strategies and Styles
Chapter 24: Fixed Income Analysis and Strategies
Chapter 25: Quantitative Methods in Finance
Chapter 26: Corporate Finance
Chapter 27: Industry Analysis and Equity Valuation
Chapter 28: Commodity and Energy Markets
Chapter 29: Emerging Markets and Developing Economies
Chapter 30: Career Development in Finance
Appendices
Theme
Auto
Dark
Light
Browse Chapter 18: Financial Crises and Market Disruptions
18.1 Historical Financial Crises
18.1.2 Dotcom Bubble Burst
18.1.1 The Great Depression
18.1.3 Global Financial Crisis of 2008
18.1.4 European Sovereign Debt Crisis
18.1.5 Asian Financial Crisis
18.2 Causes of Financial Crises
18.2.3 Regulatory Failures
18.2.5 International Imbalances
18.2.1 Asset Bubbles
18.2.2 Excessive Leverage
18.2.4 Market Speculation
18.3 Impact of Crises on Financial Markets
18.3.1 Stock Market Volatility
18.3.2 Credit Market Freezes
18.3.3 Currency Fluctuations
18.3.4 Investor Confidence
18.3.5 Economic Recessions
18.4 Risk Management During Crises
18.4.5 Crisis Communication
18.4.1 Diversification Strategies
18.4.2 Liquidity Management
18.4.3 Stress Testing Portfolios
18.4.4 Safe-Haven Assets
18.5 Regulatory Responses and Reforms
18.5.1 Strengthening Financial Regulations
18.5.2 Capital Adequacy Requirements
18.5.3 Systemic Risk Oversight
18.5.4 International Coordination
18.5.5 Future Preventative Measures
Home
Chapter 18: Financial Crises and Market Disruptions
18.1 Historical Financial Crises
18.1 Historical Financial Crises
In this section
Dotcom Bubble Burst: Understanding the Rise and Fall of the Dotcom Era
Explore the Dotcom Bubble, its formation, factors leading to overvaluation, the burst, and its impact on investors and the economy.
The Great Depression: Origins, Impact, and Lessons
Explore the origins, global impact, and policy responses to the Great Depression, and understand its lasting influence on modern economic policies.
Understanding the Global Financial Crisis of 2008: Causes, Effects, and Aftermath
Explore the root causes, global impact, and regulatory aftermath of the 2008 financial crisis, focusing on subprime mortgages, securitization, and government interventions.
European Sovereign Debt Crisis: Origins, Impact, and Recovery
Explore the origins, impact, and recovery measures of the European Sovereign Debt Crisis, focusing on key countries and the roles of the ECB and IMF.
Asian Financial Crisis: Understanding the 1997 Turmoil and Its Aftermath
Explore the triggers, impacts, and lessons of the 1997 Asian Financial Crisis, including currency pegs, speculative attacks, and economic reforms.
Monday, October 28, 2024
18.2 Causes of Financial Crises