The real consequences of financial stress
From MaRDI portal
Publication:900379
DOI10.1016/j.jedc.2013.04.014zbMath1327.91051OpenAlexW2033313936WikidataQ56523027 ScholiaQ56523027MaRDI QIDQ900379
Publication date: 22 December 2015
Published in: Journal of Economic Dynamics \& Control (Search for Journal in Brave)
Full work available at URL: http://sfb649.wiwi.hu-berlin.de/papers/pdf/SFB649DP2013-011.pdf
Statistical methods; risk measures (91G70) Macroeconomic theory (monetary models, models of taxation) (91B64) Corporate finance (dividends, real options, etc.) (91G50)
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