BOLTON, PATRICK, et al., editors. “Managing Risk During Macroeconomic Uncertainty.” Sovereign Wealth Funds and Long-Term Investing, Columbia University Press, New York, 2012, pp. 173–185, www.jstor.org/stable/10.7312/bolt15862.11. Accessed 24 July 2021.
Managing Risk During Macroeconomic Uncertainty. (2012). In BOLTON P., SAMAMA F., & STIGLITZ J. (Eds.), Sovereign Wealth Funds and Long-Term Investing (pp. 173-185). New York: Columbia University Press. Retrieved July 24, 2021, from http://www.jstor.org/stable/10.7312/bolt15862.11
"Managing Risk During Macroeconomic Uncertainty." In Sovereign Wealth Funds and Long-Term Investing, edited by BOLTON PATRICK, SAMAMA FREDERIC, and STIGLITZ JOSEPH E., 173-85. New York: Columbia University Press, 2012. Accessed July 24, 2021. http://www.jstor.org/stable/10.7312/bolt15862.11.
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