The too-big-fail doctrine revisited
Philip Molyneux, Edward Gardener
págs. 15-32
High real interest rates: a long-term risk?
Agnès Belaisch
págs. 33-48
Expected loss as a credit risk measure
Pier-Luigi Gilibert
págs. 49-62
The capital structure of private infrastructure projects and the risk of default
Chistopher Hurst, Jacques Girard
págs. 63-72
Value-at-risk and capital adequacy: the challenge for financial regulation
Kristian Kjeldsen
págs. 73-85
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