Understanding Financial Risk Tolerance Institutional, Behavioral and Normative Dimensions

This book revolves around the concept of financial risk tolerance and its role in financial markets. Bridging different literatures and reviewing in detail the impact of European regulation on the evolution of risk tolerance assessment, this book discusses the intersection of scholarly research, pra...

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Bibliographic Details
Main Authors: Cruciani, Caterina, Gardenal, Gloria (Author), Amitrano, Giuseppe (Author)
Format: eBook
Language:English
Published: Cham Palgrave Macmillan 2022, 2022
Edition:1st ed. 2022
Subjects:
Online Access:
Collection: Springer eBooks 2005- - Collection details see MPG.ReNa
Table of Contents:
  • Chapter 1: Financial risk tolerance: where does it all start from?
  • Chapter 2: Risk tolerance tools: from academia to regulation and back
  • Chapter 3: Challenges and opportunities in the regulation of financial instruments post Mifid2 – Sustainable finance
  • Chapter 4: The digital challenge: how are new technologies shaping the financial industry?
  • Chapter 5: Challenges and opportunities for the future investor – a practitioner’s guide