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Journal Information
Issue
Vol. 14. Issue 1.
Special Issue: Financial Stability
Pages 1-42 (January - June 2016)
Editorial
Financial stress indices: An introduction
Manfred Kremer
The Spanish Review of Financial Economics. 2016;14:1-4
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Articles
Systemic liquidity risk and portfolio theory: An application to the Italian financial markets
Eleonora Iachini, Stefano Nobili
The Spanish Review of Financial Economics. 2016;14:5-14
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Measuring market liquidity in US fixed income markets: A new synthetic indicator
Carmen Broto, Matías Lamas
The Spanish Review of Financial Economics. 2016;14:15-22
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A Spanish Financial Market Stress Index (FMSI)
Mª Isabel Cambón, Leticia Estévez
The Spanish Review of Financial Economics. 2016;14:23-41
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