
To analyze the causes and characteristics of stock market crashes.
To assess the effects of stock market crashes on the economy.
To examine the strategies adopted by finance managers to mitigate the impact of stock market crashes.
To explore potential opportunities for financial managers in the aftermath of a stock market crash.
Conduct a literature review on the historical stock market crashes and their impact on the economy.
Analyze data on past stock market crashes and their corresponding economic consequences.
Interview financial managers to understand their strategies for managing stock market crashes.
Develop recommendations for finance managers to prepare for and navigate through future stock market crashes.