Petrova, J. I., Rasskazov, V. E., Salin, V. N., & Sevruk, V. T. (2017). METHODOLOGY OF SYSTEMIC RISK MANAGEMENT ADJUSTED FOR THE RUSSIAN CREDIT MARKET ENVIRONMENT. Government of the Russian Federation, Financial University.
Chicago Style (17th ed.) CitationPetrova, J. I., V. E. Rasskazov, V. N. Salin, and V. T. Sevruk. METHODOLOGY OF SYSTEMIC RISK MANAGEMENT ADJUSTED FOR THE RUSSIAN CREDIT MARKET ENVIRONMENT. Government of the Russian Federation, Financial University, 2017.
MLA (9th ed.) CitationPetrova, J. I., et al. METHODOLOGY OF SYSTEMIC RISK MANAGEMENT ADJUSTED FOR THE RUSSIAN CREDIT MARKET ENVIRONMENT. Government of the Russian Federation, Financial University, 2017.
Warning: These citations may not always be 100% accurate.