Applying portfolio theory to global bank lending
- 30 June 1984
- journal article
- Published by Elsevier in Journal of Banking & Finance
- Vol. 8 (2) , 153-169
- https://doi.org/10.1016/0378-4266(84)90002-5
Abstract
No abstract availableKeywords
This publication has 4 references indexed in Scilit:
- The probability of bankruptcyJournal of Banking & Finance, 1981
- Debt with Potential Repudiation: Theoretical and Empirical AnalysisThe Review of Economic Studies, 1981
- Country risk, portfolio decisions and regulation in international bank lendingJournal of Banking & Finance, 1981
- Option pricing: A reviewJournal of Financial Economics, 1976