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<bibitem type="M">   <ARLID>0397168</ARLID> <utime>20240103203052.5</utime><mtime>20131031235959.9</mtime>         <title language="eng" primary="1">Collateral Composition, Diversification Risk, and Systemically Important Merchant Banks</title>  <specification> <page_count>19 s.</page_count> <media_type>P</media_type> <book_pages>565</book_pages> </specification>   <serial><ARLID>cav_un_epca*0397167</ARLID><ISBN>978-606-93129-5-7</ISBN><title>Financial Aspects of Recent Trends in the Global Economy</title><part_num>2</part_num><part_title>Financial Markets (Risks and Solutions)</part_title><page_num>38-56</page_num><publisher><place>Craiova</place><name>Asers Publishers</name><year>2013</year></publisher><editor><name1>Mirdala</name1><name2>Rajmund</name2></editor></serial>    <keyword>collateral</keyword>   <keyword>diversification</keyword>   <keyword>default</keyword>    <author primary="1"> <ARLID>cav_un_auth*0101079</ARLID> <name1>Derviz</name1> <name2>Alexis</name2> <full_dept language="cz">Ekonometrie</full_dept> <full_dept language="eng">Department of Econometrics</full_dept> <department language="cz">E</department> <department language="eng">E</department> <institution>UTIA-B</institution> <full_dept>Department of Econometrics</full_dept>  <fullinstit>Ústav teorie informace a automatizace AV ČR, v. v. i.</fullinstit> </author>   <source> <url>http://library.utia.cas.cz/separaty/2013/E/derviz-0397168.pdf</url> </source>        <cas_special> <project> <project_id>GA13-11983S</project_id> <agency>GA ČR</agency> <ARLID>cav_un_auth*0292672</ARLID> </project>  <abstract language="eng" primary="1">Modeling corporate balance sheet structure and the role of financial intermediaries in systemic risk accumulation in the process of satisfying non-financials' demand for diversified collateral is presented in this article.</abstract>     <reportyear>2014</reportyear>  <RIV>AH</RIV>      <num_of_auth>1</num_of_auth>  <inst_support> RVO:67985556 </inst_support>  <permalink>http://hdl.handle.net/11104/0225516</permalink>        <arlyear>2013</arlyear>       <unknown tag="mrcbU63"> cav_un_epca*0397167 Financial Aspects of Recent Trends in the Global Economy Financial Markets (Risks and Solutions) 2 978-606-93129-5-7 38 56 Craiova Asers Publishers 2013 Financia 3 FINART </unknown> <unknown tag="mrcbU67"> Mirdala Rajmund 340 </unknown> </cas_special> </bibitem>