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The Household Finance Survey: Description of the 2009 survey and main results on household income, wealth and debt in Greece Tzamourani P.
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A hierarchical model of tail dependent asset returns for assessing portfolio credit risk Puzanova N.
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Bayesian estimation of sparse dynamic factor models with order-independent identification Kaufmann S., Schumacher C.
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Households financial portfolio choices: a comparison between France and Germany (1978-2009) Avouyi Dovi S., Borgy V., Pfister C., Scharnagl M., Sedillot F.
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Einige Anmerkungen zum Wesen der Deflation aus Sicht der Finanzstabilität Bleich D., Bleich T., Fendel R.
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