Prepare a short (8-15 pages) research paper on one of the following general topics:1. Strategies Aimed at Mitigating … (a specific type of) RiskAnalyze the key strategies of managing one of the main categories of financial risk that include: credit risk, liquidity risk, counter-party risk, default risk, interest rate risk, exchange rate risk, market risk, operational risk, sovereign risk, and systemic risk.2. Recent Changes in U.S. Monetary Policy and Their Macroeconomic Repercussions3. Regulatory Policy Responses to the Recent Global Financial CrisisOther topics are possible by the professor’s approvalPaper format:Title page (title, author’s name, abstract)I. Introduction (state the main purpose of your study, briefly describe the working hypothesis, also describe the analytical model (if any) and the methodology, paper organization)II. Literature overviewIII. The analytical discussion of the main conceptIV. Empirical evidenceV. ConclusionsReferencesFootnotes, tables, figures can be included in the main text.
