학술저널
Ⅰ. Introduction
Ⅱ. Economics of Investment, Hedging, and Insurance
Ⅲ. Optimal Self-protection and Risk-Reduction
Ⅳ. Financial and Insurance Intermediation, Risk Managers, and Outsourcing
Ⅴ. Fraud and Verification in Financial Markets and financial Intermediation
Ⅵ. Financial Intermediation, Buying Agents, and Search Models
Ⅶ. Conclusion
References
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