This volume represents the first reflection on a theme that we consider central and that we will continue to deepen, and it is aimed to provide food for thought for researchers and academic practitioners in the field of systemic risk measurement and management, specialists in banks and financial institutions, policymakers and students of economics and finance
Systemic Risk, Monetary Policy and Portfolio Diversification in the Great Crises’ Era / Pacelli, Vincenzo; Panetta, Ida Claudia. - (2022), pp. 1-109.
Systemic Risk, Monetary Policy and Portfolio Diversification in the Great Crises’ Era
Pacelli, Vincenzo;Panetta, Ida Claudia
2022
Abstract
This volume represents the first reflection on a theme that we consider central and that we will continue to deepen, and it is aimed to provide food for thought for researchers and academic practitioners in the field of systemic risk measurement and management, specialists in banks and financial institutions, policymakers and students of economics and financeFile allegati a questo prodotto
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