Optimal investment risks and debt management with backup security in a financial crisis (Q1743950)

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Optimal investment risks and debt management with backup security in a financial crisis
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    Optimal investment risks and debt management with backup security in a financial crisis (English)
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    16 April 2018
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    optimal investment
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    net debt ratio
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    collateral security
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    diffusion and credit risks
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    real wealth
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    financial crisis
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