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    METHODOLOGY OF SYSTEMIC RISK MANAGEMENT ADJUSTED FOR THE RUSSIAN CREDIT MARKET ENVIRONMENT by J. I. Petrova, V. E. Rasskazov, V. N. Salin, V. T. Sevruk

    Published 2017-10-01
    “…Among specific sources of systemic the following risks were emphasized: access of a banking sector to market liquidity and currency fluctuations in the short term; financial contagion, economic bubbles and sovereign default risk in the long term. …”
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