MANAGING SOVEREIGN CREDIT RISK IN BOND PORTFOLIOS.

Autor: Bruder, Benjamin1 benjamin.bruder@lyxor.com, Hereil, Pierre1 pierre.hereil@lyxor.com, Roncalli, Thierry1 thierry.roncalli@lyxor.com
Zdroj: Journal of Advanced Studies in Finance (De Gruyter Open). Summer2012, Vol. 3 Issue 1, p5-26. 22p. 12 Charts, 9 Graphs.
Databáze: Business Source Ultimate