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~isPartOf:"Regaining global stability after the financial crisis"
~type_genre:"Amtsdruckschrift"
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Regaining global stability after the financial crisis
Application of operations research to financial markets
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Financial Risk Management and Climate Change Risk : The Experience in a Central Bank
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OECD Economics Department working papers
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Research handbook of financial markets
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50 years of central banking in Kenya : regional and global perspectives
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Analytical models for financial modeling and risk management
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Asia-Pacific contemporary finance and development
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Debt in the ancient Mediterranean and Near East : credit, money, and social obligation
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Decision making and risk/return optimization in financial economics
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Decision taking, confidence and risk management in banks from early modernity to the 20th century
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Essays in honor of M. Hashem Pesaran : prediction and macro modeling
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Essays in honour of Fabio Canova
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Essays on Financial Analytics : Applications and Methods
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Expectations : theory and applications from historical perspectives
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Global Financial Flows in the Pre- and Post-global Crisis Periods
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Handbook of green finance : energy security and sustainable development
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Monetary policy implementation in East Asia
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New Challenges for the Banking Industry : Searching for Balance Between Corporate Governance, Sustainability and Innovation
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New methods in fixed income modeling : fixed income modeling
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OECD productivity working papers
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Quantitative analysis of social and financial market development
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Regulation of Finance and Accounting : 21st and 22nd Virtual Annual Conference on Finance and Accounting (ACFA2020-21), Prague, Czech Republic
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Risk management decisions and value under uncertainty
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Risks Related to Environmental, Social and Governmental Issues (ESG)
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Sovereign debt : a guide for economists and practitioners
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Sovereign debt diplomacies : rethinking sovereign debt from colonial empires to hegemony
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Sustainable Finance and Financial Crime
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The Oxford handbook of institutions of international economic governance and market regulation
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The Oxford handbook of sovereign wealth funds
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Trends in mathematical economics : dialogues between Southern Europe and Latin America
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Importance of fiscal fundamentals for sovereign risk spread
Szarowská, Irena
- In:
Regaining global stability after the financial crisis
,
(pp. 127-146)
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2018
Persistent link: https://www.econbiz.de/10011915087
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