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Financial Intermediation with Risk Aversion

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Publication:2707934
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DOI10.1111/1467-937X.00151zbMath1073.91587OpenAlexW1978707088MaRDI QIDQ2707934

Martin F. Hellwig

Publication date: 2000

Published in: The Review of Economic Studies (Search for Journal in Brave)

Full work available at URL: https://doi.org/10.1111/1467-937x.00151



Mathematics Subject Classification ID


Related Items (2)

A continuous-time optimal insurance design with costly monitoring ⋮ A theory of the non-neutrality of money with banking frictions and bank recapitalization







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