![Open access](/images/ico/o.png)
![](/images/ico/ico5.png)
Author: Westphal Annika
Publisher: MDPI
E-ISSN: 2227-7072|3|3|244-279
ISSN: 2227-7072
Source: International Journal of Financial Studies, Vol.3, Iss.3, 2015-07, pp. : 244-279
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/o.png)
![](/images/ico/ico5.png)
![](/images/ico/o.png)
![](/images/ico/ico5.png)
The Impact of Systemic Risk on the Diversification Benefits of a Risk Portfolio
By Busse Marc Dacorogna Michel Kratz Marie
Risks, Vol. 2, Iss. 3, 2014-07 ,pp. :
![](/images/ico/o.png)
![](/images/ico/ico5.png)
![](/images/ico/o.png)
![](/images/ico/ico5.png)
The Financial Stress Index: Identification of Systemic Risk Conditions
By Oet Mikhail V. Dooley John M. Ong Stephen J.
Risks, Vol. 3, Iss. 3, 2015-09 ,pp. :
![](/images/ico/o.png)
![](/images/ico/ico5.png)
Optimal Reinsurance: A Risk Sharing Approach
By Balbas Alejandro Balbas Beatriz Balbas Raquel
Risks, Vol. 1, Iss. 2, 2013-08 ,pp. :