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Measuring the stability of a dynamic system : the case of the stock market turmoil 2007 - 2008
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Understanding bank risk through market measures
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Measuring systemic risk contribution of global stock markets : a dynamic tail risk network approach
Wang, Ze, (2022)
A study of US stock market volatility, fall 2008
Christner, Ron, (2009)
An evaluation of the prospects for the euro currency in 2012 - 2013
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A risk management approach to international real estate investment