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Finance: Theory and Practice

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Rasskazov V.E. THE METHODOLOGY FOR MEASURING FINANCIAL CONTAGION: THE CASE STUDY OF BANK DEFAULT RISK SIMULATION. Finance: Theory and Practice. 2016;20(3):54-61. (In Russ.) https://doi.org/10.26794/2587-5671-2016-20-3-54-61



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ISSN 2587-5671 (Print)
ISSN 2587-7089 (Online)