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New Measures for a New Normal in Finance and Risk Management

Gabbi, G. & Iori, G. ORCID: 0000-0001-9443-9353 (2022). New Measures for a New Normal in Finance and Risk Management. The European Journal of Finance, 28(13-15), pp. 1257-1262. doi: 10.1080/1351847x.2022.2057808

Publication Type: Article
Additional Information: This is an Accepted Manuscript of an article published by Taylor & Francis in European Journal of Finance on 8 Jun 2022, available at: https://doi.org/10.1080/1351847X.2022.2057808
Publisher Keywords: General Financial Markets, Financial Institutions and Services, Econometric and Statistical Methods: Statistical Topics
Subjects: H Social Sciences > HB Economic Theory
H Social Sciences > HG Finance
Departments: School of Policy & Global Affairs > Economics
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