The Cash-Flow-at-Risk and financial institutions : the management of market risk and liquidity risk with “at-risk” measures

Bibliographic reference Jacquemain, Réginald. The Cash-Flow-at-Risk and financial institutions : the management of market risk and liquidity risk with “at-risk” measures. Louvain School of Management, Université catholique de Louvain, 2014. Prom. : Platten, Isabelle.
Permanent URL http://hdl.handle.net/2078.1/thesis:4515