Haute Lumière · The Reader

Living Systems Economics

Risk Management in Complex Financial Systems

50,211 words in 13 chapters.

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The chapters
1. Chapter 1. Introduction: Navigating the Labyrinth of Complexity 3,666 words · free to anybody, always 2. Chapter 2. Foundations of Risk: From Variance to Value at Risk 4,026 words 3. Chapter 3. Network Theory and Systemic Risk: Mapping Financial Interconnections 4,030 words 4. Chapter 4. Agent-Based Modeling: Simulating Market Dynamics and Behavioral Effects 4,122 words 5. Chapter 5. Stress Testing and Scenario Analysis: Preparing for the Unknown 3,745 words 6. Chapter 6. Risk Appetite and Tolerance: Aligning Strategies with Objectives 3,788 words 7. Chapter 7. Quantitative Techniques for Risk Measurement: From Historical Simulation to Machine Learning 3,987 words 8. Chapter 8. Regulatory Frameworks and Risk Management Practices: A Global Perspective 3,781 words 9. Chapter 9. Cybersecurity and Operational Risk: Safeguarding Financial Systems 3,856 words 10. Chapter 10. Climate Change and Sustainability Risks: Integrating ESG Considerations 3,676 words 11. Chapter 11. Emerging Technologies and the Future of Risk Management: Blockchain, AI, and Beyond 3,686 words 12. Chapter 12. Case Studies in Complex Risk Management: Lessons from Past Crises 3,857 words 13. Chapter 13. Building a Resilient Financial System: Best Practices and Emerging Trends 3,845 words