Managing and trading sovereign risk using credit derivatives and government markets
Year of publication: |
2013
|
---|---|
Authors: | Pollege, Samuel ; Posch, Peter N. |
Published in: |
Journal of risk finance : the convergence of financial products and insurance. - Bingley : Emerald Group Publishing Limited, ISSN 1526-5943, ZDB-ID 2088897-1. - Vol. 14.2013, 5, p. 453-467
|
Subject: | Asset management | Credit default swaps | Government bond markets | Sovereign risk | Öffentliche Anleihe | Public bond | Länderrisiko | Country risk | Kreditderivat | Credit derivative | Derivat | Derivative | Kreditrisiko | Credit risk | Welt | World | Portfolio-Management | Portfolio selection |
-
Price discovery in euro area sovereign credit markets and the ban on naked CDS
Gyntelberg, Jacob, (2018)
-
Bank use of sovereign CDS in the eurozone crisis : hedging and risk incentives
Acharya, Viral V., (2018)
-
Bank use of sovereign CDS in the Eurozone crisis : hedging and risk incentives
Acharya, Viral V., (2022)
- More ...
-
Managing and trading sovereign risk using credit derivatives and government markets
Pollege, Samuel, (2013)
-
Managing and trading sovereign risk using credit derivatives and government markets
Pollege, Samuel, (2013)
-
Predatory Short Sales and Bailouts
Posch, Peter N., (2015)
- More ...