Financial Innovations and the Incidence of Risks in the Financial System


Hellwig, Martin



DOI: https://doi.org/10.1007/978-1-4613-1271-0_3
URL: https://link.springer.com/chapter/10.1007/978-1-46...
Document Type: Book chapter
Year of publication: 1996
Book title: Risk management in volatile financial markets
The title of a journal, publication series: Financial and Monetary Policy Studies
Volume: 32
Page range: 24-39
Publisher: Bruni, Franco
Place of publication: Dordrecht [u.a.]
Publishing house: Kluwer Academic [u.a.]
ISBN: 0-7923-4053-1 , 978-1-4612-8542-7 , 978-1-4613-1271-0
Publication language: English
Institution: School of Law and Economics > VWL, Wirtschaftstheorie (Kübler -2011)
Subject: 330 Economics

Dieser Eintrag ist Teil der Universitätsbibliographie.




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