Include in your analysis the following:
Describe the conditions of the Capital Markets (Equity, Debt, Money Market, Repos, Mortgages, Foreign Currencies and in particular Derivative Product Market.
Identify the significant players inside the US Government, The Federal Reserve Bank, Investment Banking, Commercial Banking, The European Commission, The European Central Bank, The governments of the UK, France and Germany
Explain – The contributing Factors to the Collapse, The Significant Player Casualties, the Relief Provided by the Government Safety Net, the Moral Hazard, Fiscal Policies and Monetary Policies followed and anything else to adequately tell this story
Include a retrospective looking back ten years and where things are today, what “new” legislation was put in place for compliance to prevent another crisis like the one experienced in 2008/2009, what about Global Co-operation and compliance . . . what has worked and what has not (express your opinion based on your research).
Your essay should be in the form of research citing resources considered
Your essay should be at least 800 words