Combining insurance, contingent debt, and self-retention in an optimal corporate risk financing strategy /
Formato: | Libro |
---|---|
Lenguaje: | English |
Publicado: |
Washington, DC :
The World Bank. Financial Sector Operations and Policy Department,
2003.
|
Colección: | Policy research working paper
3167 |
Ejemplares similares
-
Managing catastrophic disaster risks using alternative risk financing and pooled insurance structures : /
Publicado: (2001) -
Managing catastrophic disaster risk using alternative risk financing and pooled insurance structures /
por: Pollner, John D., 1957-,
Publicado: (2001) -
Real interest rates, sovereign risk and optimal debt management /
por: Drudi, Francesco, et al.
Publicado: (1996) -
Corporate governance and contingency theory : a structural equation modeling approach and accounting risk implications /
Publicado: (2015) -
Insuring sovereign debt against default /
Publicado: (1996)