Risk-Free Assets in Financial Markets

6 Pages Posted: 6 Oct 2014

See all articles by Alberto Giovannini

Alberto Giovannini

Columbia University - Columbia Business School

Date Written: July 2013

Abstract

This paper was presented at the panel session on financial markets without a risk-free sovereign, held during the seminar on sovereign risk hosted by the BIS in January 2013.

Full publication: Sovereign Risk: A World Without Risk-Free Assets?

Suggested Citation

Giovannini, Alberto, Risk-Free Assets in Financial Markets (July 2013). BIS Paper No. 72m, Available at SSRN: https://ssrn.com/abstract=2473981

Alberto Giovannini (Contact Author)

Columbia University - Columbia Business School ( email )

3022 Broadway
New York, NY 10027
United States

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