The History and Economics of Stock Market Crashes PoorSatisfactoryGoodVery GoodExcellent Average: 5 (1 rating) Log in to rate this article. Research Foundation Publications December 2009 | Vol. 2009 | No. 5 | 37 pages Source: Research Foundation of CFA InstitutePaul D. Kaplan, CFA Thomas Idzorek, CFA Michele Gambera, CFA Katsunari Yamaguchi James Xiong, CFA David M. Blanchett, CFA Read Abstract This is a chapter in the Research Foundation book Insights into the Global Financial Crisis. View more information Topics Economics : International Trade and Capital Flows | Portfolio Management : Portfolio Construction and Revision | Standards, Ethics, and Regulations (SER) : Applicable Laws and Regulations Credits · About the CE Program 0.5 CE (including 0 SER) Record credits Credits recorded Members, log in to record your credits. Manage CE Credits People who viewed this page also viewed: Advanced Risk and Portfolio Management Bootcamp - ARPM Bootcamp The six-day course provides in-depth understanding of buy-side quantitative modeling from the foundations to the most advanced statistical ... More China's 12th Five-Year Plan Alexander Van Kemenade discusses China's 12th five-year plan, which includes higher efficiency in the use of energy, water, and carbon ... More Correlation, Return Gaps, and the Benefits of Diversification This paper suggests that correlation is not the best indicator for diversification in that the benefits of diversification depend on not ... More Loading ...