Main risk margin determinants of government bonds of Visegrad group countries
Analýza faktorov vplyvu na rozpätia rizikových marží vládnych dlhopisov v krajinách V4. Analýza na princípe modelu šíriky a volatility rizika. Využité empiricko-štatistické metódy a komparácia v špecifickom modeli použitom a aplikovanom na krajiny východnej Európy.
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| Format: | Book Chapter |
| Language: | English |
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