Publication | Closed Access
The empirical relationship between average asset correlation, firm probability of default, and asset size
191
Citations
8
References
2003
Year
Empirical FinanceFinancial EconomicsAsset PricingFinancial EconometricsAccountingFirm ProbabilityBusinessEconomic AnalysisAsset AllocationManagementAsset SizeIntertemporal Portfolio ChoiceEmpirical RelationshipFinanceFinancial Structure
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