Cuzman, Ioan; Manaţe, Daniel; Fărcaş, Pavel - In: Theoretical and Applied Economics 5(558)(supplement) (2011) 5(558)(supplement), pp. 73-80
The bubbles, either involving real or financial assets, previous to the subprime crisis bring at the investor’s community’s concern the elusive topic of risk mitigation. Funds industry need today, more than any time in the past, a clear, decisive and competent approach in risk management. A...