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- W4211042612 abstract "Free Access References Book Editor(s):Jon Gregory, Jon GregorySearch for more papers by this author First published: 11 September 2015 https://doi.org/10.1002/9781119109440.refs AboutPDFPDF ToolsRequest permissionExport citationAdd to favoritesTrack citation ShareShareShare a linkShare onFacebookTwitterLinked InRedditWechat References Albanese, C., Andersen, L. and Iabichino, S. (2015) “FVA accounting, risk management and collateral trading”, Risk, January. Albanese, C. and Iabichino, S. (2013) “ The FVA–DVA puzzle: risk management and collateral trading strategies”, working paper. Albanese, C., D'Ippoliti, F. and Pietroniero, G. (2011) “ Margin lending and securitization: regulators, modelling and technology”, working paper. Altman, E. (1968) “Financial ratios, discriminant analysis and the prediction of corporate bankruptcy”, Journal of Finance, 23, 589– 609. Altman, E. 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