Reducing margin procyclicality at central counterparties RS Raykov JOURNAL OF FINANCIAL MARKET INFRASTRUCTURES 7 (2), 43-59, 2018 | 14 | 2018 |
Catastrophe insurance equilibrium with correlated claims RS Raykov Theory and Decision 78 (1), 89-115, 2015 | 11 | 2015 |
Holding company affiliation and bank stability: Evidence from the US banking sector R Raykov, C Silva-Buston Journal of Corporate Finance 65, 101739, 2020 | 8 | 2020 |
To share or not to share? Uncovered losses in a derivatives clearinghouse RS Raykov Bank of Canada Staff Working Paper, 2016 | 7 | 2016 |
Risk Mutualization and Financial Stability: Recovering and Resolving a CCP R Raykov Journal of Financial Market Infrastructures, 2017 | 6 | 2017 |
Asymmetric Systemic Risk R Raykov, C Silva-Buston Bank of Canada, 2022 | 2 | 2022 |
Asymmetric Systemic Risk R Raykov, C Silva-Buston Bank of Canada Staff Working Paper, 2022 | 2 | 2022 |
Systemic Risk and Collateral Adequacy: Evidence from the Futures Market R Raykov Journal of Financial and Quantitative Analysis 57 (3), 1142-1173, 2022 | 2 | 2022 |
Optimal margining and margin relief in centrally cleared derivatives markets RS Raykov Bank of Canada Working Paper, 2014 | 2 | 2014 |
Systemic risk and collateral adequacy R Raykov Bank of Canada, 2019 | 1 | 2019 |
Multibank holding companies and bank stability R Raykov, C Silva-Buston Bank of Canada Staff Working Paper, 2018 | 1 | 2018 |
Systemic Risk and Portfolio Diversification: Evidence from the Futures Market R Raykov Bank of Canada Staff Working Paper Series, 2021 | | 2021 |
Uncertain Costs and Vertical Differentiation in an Insurance Duopoly R Raykov Bank of Canada, 2014 | | 2014 |
Essays in Applied Microeconomic Theory RS Raykov Boston College. Graduate School of Arts and Sciences, 2012 | | 2012 |