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  "Description": "The past decade has demonstrated an increased need to\nbetter understand risks leading to systemic crises. This\nframework offers scholars, practitioners and policymakers a\nuseful toolbox to explore such risks in financial systems.\nSpecifically, this framework provides popular econometric and\nnetwork measures to monitor systemic risk and to measure the\nconsequences of regulatory decisions. These systemic risk\nmeasures are based on the frameworks of Adrian and Brunnermeier\n(2016) <doi:10.1257/aer.20120555> and Billio, Getmansky, Lo and\nPelizzon (2012) <doi:10.1016/j.jfineco.2011.12.010>.",
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