An overview of potential financial bubbles in the US financial markets

Thesis (M.B.A.)--Massachusetts Institute of Technology, Sloan School of Management, 2013.

Bibliographic Details
Main Author: Sadalla, Marco Antonio V. (Marco Antonio Vieira)
Other Authors: Robert C. Merton.
Format: Thesis
Language:eng
Published: Massachusetts Institute of Technology 2013
Subjects:
Online Access:http://hdl.handle.net/1721.1/81012
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author Sadalla, Marco Antonio V. (Marco Antonio Vieira)
author2 Robert C. Merton.
author_facet Robert C. Merton.
Sadalla, Marco Antonio V. (Marco Antonio Vieira)
author_sort Sadalla, Marco Antonio V. (Marco Antonio Vieira)
collection MIT
description Thesis (M.B.A.)--Massachusetts Institute of Technology, Sloan School of Management, 2013.
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spelling mit-1721.1/810122019-04-11T07:19:27Z An overview of potential financial bubbles in the US financial markets Overview of potential financial bubbles in the U.S. Sadalla, Marco Antonio V. (Marco Antonio Vieira) Robert C. Merton. Sloan School of Management. Sloan School of Management. Sloan School of Management. Thesis (M.B.A.)--Massachusetts Institute of Technology, Sloan School of Management, 2013. Cataloged from PDF version of thesis. Includes bibliographical references (p. 94-97). Financial bubbles have presented a challenge for the financial markets for a long time and caused steep losses for many investors. This thesis has two main goals relating to financial bubbles. The first is to try to determine if it is possible to find out if a financial bubble is forming. To accomplish that, the economic theories that govern bubble formation and burst are analyzed and the models that exist to predict bubble formation are discussed. A new model is suggested and is applied in the US financial markets to determine if any of the asset classes are currently risking the development of a bubble. This analysis suggests that one asset class is likely to be developing a bubble and this thesis further discusses this asset class. The second objective of this thesis is to suggest alternatives that prudent investors could introduce to protect themselves from some of the worst consequences of bubbles. This thesis will suggest models inspired by completely different industries: the air transportation industry with its high safety standards; the oil industry with its long-term planning; and the socially responsible investment industry, with its self-regulatory structure. by Marco Antonio V. Sadalla. M.B.A. 2013-09-24T19:36:55Z 2013-09-24T19:36:55Z 2013 2013 Thesis http://hdl.handle.net/1721.1/81012 857790178 eng M.I.T. theses are protected by copyright. They may be viewed from this source for any purpose, but reproduction or distribution in any format is prohibited without written permission. See provided URL for inquiries about permission. http://dspace.mit.edu/handle/1721.1/7582 97 p. application/pdf Massachusetts Institute of Technology
spellingShingle Sloan School of Management.
Sadalla, Marco Antonio V. (Marco Antonio Vieira)
An overview of potential financial bubbles in the US financial markets
title An overview of potential financial bubbles in the US financial markets
title_full An overview of potential financial bubbles in the US financial markets
title_fullStr An overview of potential financial bubbles in the US financial markets
title_full_unstemmed An overview of potential financial bubbles in the US financial markets
title_short An overview of potential financial bubbles in the US financial markets
title_sort overview of potential financial bubbles in the us financial markets
topic Sloan School of Management.
url http://hdl.handle.net/1721.1/81012
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