175 years of financial risks and returns in central banking : Danmarks Nationalbank, 1839-2014
Year of publication: |
December 2017
|
---|---|
Authors: | Abildgren, Kim |
Published in: |
Financial history review. - Cambridge : Cambridge Univ. Press, ISSN 0968-5650, ZDB-ID 1156593-7. - Vol. 24.2017, 3, p. 307-329
|
Subject: | central banks | risk management | monetary history | Geldpolitik | Monetary policy | Zentralbank | Central bank | Risikomanagement | Risk management | Bankrisiko | Bank risk | Geldgeschichte | Monetary history | Welt | World |
-
175 years of financial risks and returns in central banking
Abildgren, Kim, (2016)
-
Climate change uncertainty and central bank risk management
Broeders, Dirk, (2021)
-
Sterling and the stability of the international monetary system, 1944-1971
Naef, Alain, (2018)
- More ...
-
The short-term Danish interbank market before, during and after the financial crisis
Abildgren, Kim, (2015)
-
Abildgren, Kim, (2012)
-
Financial structures and the real effects of credit-supply shocks in Denmark 1922-2011
Abildgren, Kim, (2012)
- More ...