Daniela Gabor says a recent review of past financial crises overlooked a key factor: Europe’s repo market and the importance of the 2010-2012 crisis, echoing her wider warnings about structural risks in finance and policy.
published
Daniela Gabor says a recent review of past financial crises overlooked a key factor: Europe’s repo market and the importance of the 2010-2012 crisis, echoing her wider warnings about structural risks in finance and policy.
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