Risk management with derivatives by dealers and market quality in government bond markets

Naik, N Y and Yadav, P K (2003) Risk management with derivatives by dealers and market quality in government bond markets. Journal of Finance, 58 (5). pp. 1873-1904. ISSN 0022-1082

Full text not available from this repository.
Item Type: Journal Article
Journal or Publication Title: Journal of Finance
Uncontrolled Keywords: /dk/atira/pure/subjectarea/aacsb/disciplinebasedresearch
Subjects:
Departments: Lancaster University Management School > Accounting & Finance
ID Code: 43755
Deposited By: ep_importer_pure
Deposited On: 11 Jul 2011 18:04
Refereed?: Yes
Published?: Published
Last Modified: 15 Jan 2020 07:21
URI: https://eprints.lancs.ac.uk/id/eprint/43755

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