Urrent trends in the market from risk management prospective

Dear writer

I hope you are doing great, is not permitted to use more than one textbook and the references have to be academic articles.

Topic Current trends in the market from risk management prospective
Which is mean you have to answer this two questions in the main body
Critically assess the most important trends in global financial crisis that have affected financial markets, institutions and the economy from 2007 to 2009

Comment on the role, application and failures of credit defaults swaps in risk management practice in financial institutions or corporations.

The introduction should not be more 200 to 250 words and the conclusion not more than 200 words. Plz write the page number in the references

Best regards