1. Systemic risk and stability in financial networks;Acemoglu;Am. Econ. Rev.,2015
2. Understanding the Recovery Rates on Defaulted Securities, Discussion Paper 4098;Acharya,2004
3. Acharya, V., Pedersen, L.H., Philippon, T., Richardson, M., 2011. Measuring Systemic Risk, AFA 2011 Denver Meetings Paper.
4. Acharya, V., Steffen, S., 2014. Analyzing systemic risk of the european banking sector. In: Fouque/Langsam (Ed.), Handbook on Systemic Risk, 37.
5. Adrian, T., Brunnermeier, M.K., 2011. CoVaR. NBER Working Papers 17454.