Managing Credit Risk with Credit Derivatives
U. Broll, B.M. Gilroy, E. Lukas, Annals of Financial Economics 3 (2007).
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Journal Article
| English
Author
Broll, Udo;
Gilroy, Bernard MichaelLibreCat;
Lukas, Elmar
Publishing Year
Journal Title
Annals of Financial Economics
Volume
3
Issue
01
LibreCat-ID
Cite this
Broll U, Gilroy BM, Lukas E. Managing Credit Risk with Credit Derivatives. Annals of Financial Economics. 2007;3(01).
Broll, U., Gilroy, B. M., & Lukas, E. (2007). Managing Credit Risk with Credit Derivatives. Annals of Financial Economics, 3(01).
@article{Broll_Gilroy_Lukas_2007, title={Managing Credit Risk with Credit Derivatives}, volume={3}, number={01}, journal={Annals of Financial Economics}, publisher={World Scientific}, author={Broll, Udo and Gilroy, Bernard Michael and Lukas, Elmar}, year={2007} }
Broll, Udo, Bernard Michael Gilroy, and Elmar Lukas. “Managing Credit Risk with Credit Derivatives.” Annals of Financial Economics 3, no. 01 (2007).
U. Broll, B. M. Gilroy, and E. Lukas, “Managing Credit Risk with Credit Derivatives,” Annals of Financial Economics, vol. 3, no. 01, 2007.
Broll, Udo, et al. “Managing Credit Risk with Credit Derivatives.” Annals of Financial Economics, vol. 3, no. 01, World Scientific, 2007.