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Case Studies in Liquidity Mismanagement

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Liquidity Risk

Part of the book series: Global Financial Markets Series ((GFM))

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Abstract

In the last three chapters we have explored concepts of liquidity risk and the financial losses that can arise from such exposures. In this chapter we extend our discussion by exploring a select number of “real world” case studies that help illustrate different dimensions of liquidity risk and the degree of damage that can be wrought.

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© 2014 Erik Banks

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Banks, E. (2014). Case Studies in Liquidity Mismanagement. In: Liquidity Risk. Global Financial Markets Series. Palgrave Macmillan, London. https://doi.org/10.1057/9781137374400_7

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