Skip to main content

Global Financial Crisis and Multyscale Systematic Risk: Evidence from Selected European Markets

Alexandridis, Antonis, Hasan, Mohammad S (2013) Global Financial Crisis and Multyscale Systematic Risk: Evidence from Selected European Markets. In: The Impact of Global Financial Crisis: on Banks, Financial Markets and Institutions in Europe, 25-26 April, Southampton, UK. (KAR id:33974)

PDF Author's Accepted Manuscript
Language: English
Click to download this file (322kB) Preview
[thumbnail of ICOGFC 2013-Alexandridis-Hasan.pdf]
Preview
This file may not be suitable for users of assistive technology.
Request an accessible format
Item Type: Conference or workshop item (Paper)
Subjects: H Social Sciences > HG Finance
Divisions: Divisions > Division of Computing, Engineering and Mathematical Sciences > School of Mathematics, Statistics and Actuarial Science
Depositing User: Mohammad Hasan
Date Deposited: 24 May 2013 09:33 UTC
Last Modified: 16 Feb 2021 12:45 UTC
Resource URI: https://kar.kent.ac.uk/id/eprint/33974 (The current URI for this page, for reference purposes)
Hasan, Mohammad S: https://orcid.org/0000-0002-2453-6868
  • Depositors only (login required):

Total unique views for this document in KAR since July 2020. For more details click on the image.