ABSTRACT

Economists at the Bank of France analyse causes and consequences of French monetary policy and financial deregulation during the 1980s. Using the latest econometric techniques, they demonstrate a strategy that the UK is still hesitating to fully adopt. These essays, never published in English before, offer a comprehensive and authoritative analysis.

chapter 2|20 pages

INVESTMENT CHOICES OF INSURANCE COMPANIES

chapter 3|21 pages

RISK MANAGEMENT BY CREDIT INSTITUTIONS