![](/images/ico/ico_close.png)
![](/images/ico/ico5.png)
Author: Choi Youngna Douady Raphael
Publisher: Routledge Ltd
ISSN: 1469-7688
Source: Quantitative Finance, Vol.12, Iss.9, 2012-09, pp. : 1351-1365
Disclaimer: Any content in publications that violate the sovereignty, the constitution or regulations of the PRC is not accepted or approved by CNPIEC.
Abstract
Related content
![](/images/ico/ico_close.png)
![](/images/ico/ico5.png)
By Maligkris Anastasios Koulakiotis Athanasios Kiohos Apostolos
International Journal of Financial Markets and Derivatives, Vol. 3, Iss. 1, 2012-04 ,pp. :
![](/images/ico/ico_close.png)
![](/images/ico/ico5.png)
By Mazumder M. Imtiaz Ahmad Nazneen
Studies in Economics and Finance, Vol. 27, Iss. 2, 2010-01 ,pp. :
![](/images/ico/ico_close.png)
![](/images/ico/ico5.png)
![](/images/ico/ico_close.png)
![](/images/ico/ico5.png)
Banks, Bears, and the Financial Crisis
Journal of Financial Services Research, Vol. 44, Iss. 1, 2013-08 ,pp. :
![](/images/ico/ico_close.png)
![](/images/ico/ico5.png)
Responses to the financial crisis
Journal of Risk Management in Financial Institutions, Vol. 3, Iss. 1, 2009-01 ,pp. :