Managing Risks in the European Periphery Debt Crisis: lessons from the trade-off between economics, politics and the financial markets

Research output: Book/ReportScholarly editionpeer-review

Original languageEnglish
Place of PublicationUnited Kingdom
PublisherPalgrave Macmillan Ltd
Publication statusPublished - 1 Oct 2014

Publication series

NameStudies in Banking and Financial Institution Series
PublisherPalgrave Macmillan

Cite this