Select only one of the four question topics and perform a literature review of a minimum of five journal articles
Question 1: Evaluate the role of financial markets and institutions in the causes of, and the resolutions to, the Financial Crisis of 2007-2009.
Question 2: Critically examine the behaviour of sovereign bonds in the Eurozone from at least two different interest rate theoretical perspectives.
Question 3: Discuss whether the Efficient Market Hypothesis is still relevant to financial market operations.
Question 4: Evaluate the actions of the European Central Bank in the conduct of Monetary Policy, describing the main strategies and tools used to stabilise the Euro currency.