A new framework for analyzing and managing macrofinancial risks of an economy
Year of publication: |
10 Oct. 2006
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Other Persons: | Gray, Dale (contributor) ; Merton, Robert C. (contributor) ; Bodie, Zvi (contributor) |
Publisher: |
Cambridge, Mass. : Harvard Business School |
Subject: | Internationaler Finanzmarkt | International financial market | Wirtschaftskrise | Economic crisis | Volatilität | Volatility | Risiko | Risk | Messung | Measurement | Risikomanagement | Risk management |
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