Browsing All of EconStor by Author González, Fernando
Showing results 1 to 5 of 5
Year of Publication | Title | Author(s) |
2003 | A framework for collateral risk control determination | Cossin, Didier; Huang, Zhijiang; Auron-Nerin, Daniel; González, Fernando |
2005 | Towards European monetary integration: the evolution of currency risk premium as a measure for monetary convergence prior to the implementation of currency unions | González, Fernando; Launonen, Simo |
2007 | The performance of credit rating systems in the assessment of collateral used in Eurosystem monetary policy operations | Coppens, François; González, Fernando; Winkler, Gerhard |
2022 | An empirical study of securitisations of non-performing loans | Boudiaf, Ismael Alexander; González, Fernando |
2023 | The European significant risk transfer securitisation market | González, Fernando; Triandafil, Cristina Morar |