An Options Approach to Analyzing and Managing Macro-Financial Risk episode artwork

EPISODE · Dec 3, 2012 · 10 MIN

An Options Approach to Analyzing and Managing Macro-Financial Risk

from Enterprising Investor

In episode #178, Nobel laureate Robert C. Merton challenges traditional models used by investors to measure sovereign and financial system credit risk, while proposing an alternative framework.

Episode metadata supplied by the publisher feed · Published Dec 3, 2012

Embed this episode

NOW PLAYING

An Options Approach to Analyzing and Managing Macro-Financial Risk

0:00 10:36

No transcript for this episode yet

We transcribe on demand. Request one and we'll notify you when it's ready — usually under 10 minutes.

No similar episodes found.

Frequently Asked Questions

How long is this episode of Enterprising Investor?

This episode is 10 minutes long.

When was this Enterprising Investor episode published?

This episode was published on December 3, 2012.

Can I download this Enterprising Investor episode?

Yes. Use the download control on the episode player to save the publisher-provided media file.
URL copied to clipboard!