Asset Market Liquidity Risk Management: A Generalized Theoretical Modeling Approach for Trading and Fund Management Portfolios
Keyword(s):
2011 ◽
Vol 31
(13)
◽
pp. 2193-2221
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Keyword(s):
2010 ◽
Vol 9
(11)
◽
Keyword(s):
Capital asset market equilibrium with liquidity risk, portfolio constraints, and asset price bubbles
2018 ◽
Vol 13
(1)
◽
pp. 115-146
◽
Keyword(s):
2016 ◽
Vol 3
(1)
◽
pp. 70-70
◽