Understanding and forecasting the credit cycle - why the mainstream paradigm in economics and finance collapsed


Werner, Richard A. (2009) Understanding and forecasting the credit cycle - why the mainstream paradigm in economics and finance collapsed. In, QFinance. London, Bloomsbury, 258-261.

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Item Type: Book Section
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Subjects: H Social Sciences > HG Finance
Divisions: University Structure - Pre August 2011 > School of Management
Faculty of Business and Law > Southampton Management School > Finance
ePrint ID: 80327
Date Deposited: 24 Mar 2010
Last Modified: 27 Mar 2014 19:03
URI: http://eprints.soton.ac.uk/id/eprint/80327

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