1. Gup BE. Bank failures in the major trading countries of the world: causes and remedies. Santa Barbara: Greenwood Publishing Group; 1998.
2. Roth M. “Too-big-to-fail” and the stability of the banking system: some insights from foreign countries. Berlin: Business Economics; 1994. p. 43–9.
3. Merton RC. On the pricing of corporate debt: the risk structure of interest rates. J Financ. 1974;29(2):449–70.
4. Vasicek OA. Credit valuation. San Francisco: KMV Corporation; 1984.
5. Acharya VV, Pedersen LH, Philippon T, Richardson MP. Measuring systemic risk. NYU Working Paper. 2010.