bibtype |
M -
Monography Chapter
|
ARLID |
0397168 |
utime |
20240103203052.5 |
mtime |
20131031235959.9 |
title
(primary) (eng) |
Collateral Composition, Diversification Risk, and Systemically Important Merchant Banks |
specification |
page_count |
19 s. |
media_type |
P |
book_pages |
565 |
|
serial |
ARLID |
cav_un_epca*0397167 |
ISBN |
978-606-93129-5-7 |
title
|
Financial Aspects of Recent Trends in the Global Economy |
part_num |
2 |
part_title |
Financial Markets (Risks and Solutions) |
page_num |
38-56 |
publisher |
place |
Craiova |
name |
Asers Publishers |
year |
2013 |
|
editor |
name1 |
Mirdala |
name2 |
Rajmund |
|
|
keyword |
collateral |
keyword |
diversification |
keyword |
default |
author
(primary) |
ARLID |
cav_un_auth*0101079 |
name1 |
Derviz |
name2 |
Alexis |
full_dept (cz) |
Ekonometrie |
full_dept (eng) |
Department of Econometrics |
department (cz) |
E |
department (eng) |
E |
institution |
UTIA-B |
full_dept |
Department of Econometrics |
fullinstit |
Ústav teorie informace a automatizace AV ČR, v. v. i. |
|
source |
|
cas_special |
project |
project_id |
GA13-11983S |
agency |
GA ČR |
ARLID |
cav_un_auth*0292672 |
|
abstract
(eng) |
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. |
reportyear |
2014 |
RIV |
AH |
num_of_auth |
1 |
inst_support |
RVO:67985556 |
permalink |
http://hdl.handle.net/11104/0225516 |
arlyear |
2013 |
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 |
mrcbU67 |
Mirdala Rajmund 340 |
|