1. Aikman, D., Alessandri, P., Eklund, B., Gai, P., Kapadia, S., Martin, E., et al. (2009). Funding liquidity risk in a quantitative model of systemic stability. Bank of England Working Paper 372.
2. Allen, F., & Babus, A. (2009). Networks in finance. In P. Kleindorfer, J. Wind, & R. E. Gunther (Eds.), The network challenge. Upper Saddle River: Wharton School Publishing.
3. Allen, F., & Gale, D. (2000). Financial contagion. Journal of Political Economy, 108(1), 1–33.
4. Anand, K., Gai, P., Kapadia, S., Brennan, S., & Willison, M. (2012). A network model of financial system resilience. Bank of England Working Paper No. 458.
5. Berman, P., DasGupta, B., Kaligounder, L., & Kerpinski, M. (2011). On vulnerability of banking networks.
arXiv:1110.3546v2
[q-finRM]