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Modelling systemic risk in financial markets Andrea Ugolini

By: Ugolini, Andrea.
Material type: TextTextSeries: Difunde ; 234. Cuadernos de investigación UCEIF ; 20/2016.Publisher: Santander Editorial de la Universidad de Cantabria 2016Description: 116 p. 25 cm.ISBN: 9788481028034.Subject(s): MERCADOS FINANCIEROS | GESTION | MODELOS MATEMATICOS | RIESGO
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