Study: At most a third of us show a consistent approach to financial risk
Empirically rich new study finds most people alter their risk-management approach depending on the type of financial decision.
Empirically rich new study finds most people alter their risk-management approach depending on the type of financial decision.
MIT finance researchers say a diversified ‘megafund’ of securities could help the industry deliver new products to consumers.
MIT financial markets expert addresses the need for better risk management — and a simple way to tell if JP Morgan’s failed gamble was a trade or a hedge.
When Thailand’s government started offering microfinance loans to villagers, did anyone benefit? An MIT economist investigates.
MIT alumnus brings 20 years of experience at Fidelity, Deloitte.
Economist believes structural problem underlying financial crisis is ‘worse than ever’
MIT expert in international economics surveys a month of turmoil.
MIT sociologist’s book takes an insider look at investment banking and the high-risk trades that can spin out of control.
Economist hopes to merge the fields of computer science and artificial intelligence with research on financial markets and risk.