Exhibits Introduction: Creating a Perfect Storm Part I Chapter 1: Reducing Risk Part II Chapter 2: Black Monday 1987 Chapter 3: Replicating Options Chapter 4: Portfolio Insurance and Futures Markets Chapter 5: Portfolio Insurance and the Crash Chapter 6: After the Crash--Options Part III Chapter 7: Options, Hedge Funds, and the Volatility of 1998 Chapter 8: Long-Term Capital Management Chapter 9: LTCM Post Mortem Part IV Chapter 11: Blowing Bubbles Chapter 12: Weapons of Mass Destruction? Chapter 14: Securitization and the Housing Bubble Part V Chapter 15: After the Storm, 2010-2018 Chapter 16: The European Debt Crisis Chapter 17: Illusions of Safety and Market Meltdowns Chapter 18: Taming the Tempest Appendix A: The Crash of 1929 and the Great Depression Appendix B: Bonds, Stocks, and Derivatives Appendix C: The Debate on Portfolio Insurance Appendix D: Derivatives Disasters in the 1990s Appendix E: Bruce Jacob's Research Objectivity Standards Proposal List of Acronyms Glossary Endnotes Bibliography Name Index Subject Index