Quaderno n. 19 - Systemic risk, monetary policy and portfolio diversification in the great crises' erahttps://www.uniba.it/it/ricerca/dipartimenti/sistemi-giuridici-ed-economici/edizioni-digitali/i-quaderni/quaderni-2022-1/Quaderni192022.pdf/viewhttps://www.uniba.it/logo.png
Quaderno n. 19 - Systemic risk, monetary policy and portfolio diversification in the great crises' era