A Second Look at Post Crisis Pricing of Derivatives - Part I : A Note on Money Accounts and Collateral
Year of publication: |
2019
|
---|---|
Authors: | Tumasyan, Hovik |
Publisher: |
[2019]: [S.l.] : SSRN |
Subject: | Derivat | Derivative | Kreditsicherung | Collateral | Finanzkrise | Financial crisis | Theorie | Theory |
-
Lou, Wujiang, (2016)
-
An Equilibrium Model for the OTC Derivatives Market with a Collateral Agreement
Takino, Kazuhiro, (2015)
-
Systematic risk of CDOs and CDO arbitrage
Hamerle, Alfred, (2009)
- More ...
-
Tumasyan, Hovik, (2018)
-
Choudhury, Roy, (2010)
-
RAPM, Funds Transfer Pricing and Risk Capital
Tumasyan, Hovik, (2016)
- More ...