G. Calice
Credit Derivatives and the Default Risk of Large Complex Financial Institutions.
Calice, G.; Ionnadis, C.; Williams, J.
Citation
Calice, G., Ionnadis, C., & Williams, J. (2012). Credit Derivatives and the Default Risk of Large Complex Financial Institutions. Journal of Financial Services Research, 42(1-2), 85-107. https://doi.org/10.1007/s10693-011-0121-z
Journal Article Type | Article |
---|---|
Publication Date | 2012 |
Deposit Date | Jan 3, 2014 |
Journal | Journal of Financial Services Research |
Print ISSN | 0920-8550 |
Electronic ISSN | 1573-0735 |
Publisher | Springer |
Peer Reviewed | Peer Reviewed |
Volume | 42 |
Issue | 1-2 |
Pages | 85-107 |
DOI | https://doi.org/10.1007/s10693-011-0121-z |
Public URL | https://durham-repository.worktribe.com/output/1473339 |
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