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Richard Bookstaber on the Big Structural Risk in the Market Right Now

Odd Lots

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Navigating Banking Regulation and Market Risks

This chapter explores the evolution of banking regulations since the 2000s, highlighting their impact on banks' asset behavior and market risks. It emphasizes the precarious balance between forced asset purchasing and potential inflation, while revealing vulnerabilities linked to speculative retail investor actions and the broader implications for ordinary people's financial security.

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