Assorted links (week July 29): Risk Management and Financial Markets
Climate change will unevenly impact the European financial system ( VoxEU ). How global companies can manage geopolitical risk ( McKinsey ). On the origin of systemic risk ( Bank Underground ). Don’t overthink your approach to valuation in emerging markets ( McKinsey ). Myth-Busting: Equities Are an Inflation Hedge ( CFA Institute ). Financial services unchained: The ongoing rise of open financial data ( McKinsey ). Four Popular Feature Selection Methods for Efficient Machine Learning in Python ( Regenerative ). Feel free to follow me on Twitter