Risk Management with Derivatives by Dealers and Market Quality in Government Bond Markets
Article first published online: 11 SEP 2003
The Journal of Finance
Volume 58, Issue 5, pages 1873–1904, October 2003
How to Cite
Naik, N. Y. and Yadav, P. K. (2003), Risk Management with Derivatives by Dealers and Market Quality in Government Bond Markets. The Journal of Finance, 58: 1873–1904. doi: 10.1111/1540-6261.00591
- Issue published online: 11 SEP 2003
- Article first published online: 11 SEP 2003
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