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Keywords: Sovereign risk
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Journal Articles
Journal of Risk Finance (2013) 14 (5): 453–467.
Published: 04 November 2013
...Samuel Pollege; Peter N. Posch Purpose – The sovereign debt crisis in Europe increased the demand for asset manager worldwide to monitor and manage their sovereign risk. While using information from the credit derivatives and bond markets has been used widely in the corporate sector its usage...

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