The Cost of Running Out of Capital

Author:

Jensen Jesper Lyng,Sublett Susanne

Publisher

Springer International Publishing

Reference7 articles.

1. Dionne, G., & Harrington, S. E. (1992). Foundations of Insurance Economics. Norwell: Kluver Academic Publishers.

2. Froot, K., Scharfstein, D. S., & Stein, J. C. (1994). A framework for risk management. Harvard Business Review, 72 (6): 91–102.

3. Hoshi, T., Kashyap, A., & Sharfstein, D. (1990). The role of banks in reducing the cost of financial distress. Journal of Financial Economics, (1): 67–88.

4. Jensen, J. L., Ponsaing, C. D., & Thrane, S. (2012). Risk, resources and structures: Experimental evidence of a new cost of risk component—The structural risk component and implications for enterprise risk management. s. 14: 152–175.

5. Knight, F. (1921). Risk, Uncertainty and Profit. New York: Sentry Press.

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