
To analyze the causes of stock market crashes in the financial realm.
To examine the effects of stock market crashes on investors, companies, and the overall economy.
To investigate the regulatory responses implemented by financial authorities to prevent and mitigate the impact of stock market crashes.
Conduct a literature review on the historical stock market crashes and identify their underlying causes.
Analyze the effects of stock market crashes on different stakeholders in the financial market.
Evaluate the effectiveness of regulatory responses, such as government interventions and policy measures, in addressing stock market crashes.
Develop recommendations for finance management professionals on how to navigate and manage potential stock market crashes in the future.