Value-at-risk model for government bonds : predicting European sovereign debt crisis


Autoria(s): Vihantavaara, Samu
Data(s)

25/09/2015

25/09/2015

2011

Identificador

1544658

http://www.doria.fi/handle/10024/115732

URN:NBN:fi-fe2015091813358

Idioma(s)

en