Browse by Subject SYSTEMIC RISK

Showing results 5 to 8 of 8

5
Multivariate stress scenario selection in interbank networks

Ahn, Dohyun; Kim, Kyoung-Kuk; Kwon, Eunji, JOURNAL OF ECONOMIC DYNAMICS & CONTROL, v.154, 2023-09

6
Next generation models for portfolio risk management: An approach using financial big data

Jung, Kwangmin; Kim, Donggyu; Yu, Seunghyeon, JOURNAL OF RISK AND INSURANCE, v.89, no.3, pp.765 - 787, 2022-09

7
SME Profitability of Trade Credit during and after a Financial Crisis: Evidence from Korea

Kwon, Ohsung; Han, Seung Hun; Lee, Duk Hee, JOURNAL OF ASIAN FINANCE ECONOMICS AND BUSINESS, v.7, no.7, pp.35 - 47, 2020-07

8
The more connected, the better? Impact of connectedness on volatility and price discovery in the Korean financial sector

Jeong, Deokjong; Park, Sunyoung, MANAGERIAL FINANCE, v.44, no.1, pp.46 - 73, 2018-01

rss_1.0 rss_2.0 atom_1.0