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Diversification, Leverage and Systemic Risk

Tasca, Paolo; (2011) Diversification, Leverage and Systemic Risk. Doctoral thesis (Ph.D), Università Ca'Foscari Venezia. Green open access

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Abstract

The Thesis investigates from a theoretical perspective the relationship between leverage, diversification and systemic risk. Moving from the folk wisdom that asset diversification enhances financial stability by dispersing credit risks, we contribute to the debate shedding light on a critical facet of this strategy. First a representative leveraged investor is considered. Under the standard framework of asset pricing theory in a frictionless, arbitrage-free and complete market, we show that maximum diversification may increase the default risk. Then, we consider a financial system of interconnected banks whose assets include also securities outside the financial network. We show that diversification in external assets displays a knife-edge effect: beyond a certain range, it may induce financial instability. Finally, we found that in presence of procyclical capital requirements that create a positive feedback loop between leverage and asset prices, the knife-edge property is amplified.

Type: Thesis (Doctoral)
Qualification: Ph.D
Title: Diversification, Leverage and Systemic Risk
Open access status: An open access version is available from UCL Discovery
Publisher version: http://hdl.handle.net/10579/1188
Language: English
Additional information: Copyright © Paolo Tasca, 2012.
UCL classification: UCL
UCL > Provost and Vice Provost Offices > UCL BEAMS
UCL > Provost and Vice Provost Offices > UCL BEAMS > Faculty of Engineering Science
UCL > Provost and Vice Provost Offices > UCL BEAMS > Faculty of Engineering Science > Dept of Computer Science
URI: https://discovery.ucl.ac.uk/id/eprint/10180041
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