Where do we stand in Risk Aversion ?
Posted on 08. jan, 2010 by Jean Jacques Ohana in Weekly Focus
During the financial crisis of 2007 and 2008, Risk Aversion had reached extreme levels never seen since 1929. It now stands at unprecedented low levels. Risky asset classes are likely to experience a significant correction when players reprice risk in the equities, credit and commodities complex.
The risk may be grasped analytically through an analysis of [...]

