| Original language | English |
|---|---|
| Pages (from-to) | 201-202 |
| Number of pages | 2 |
| Journal | Journal of Banking and Finance |
| Volume | 26 |
| Issue number | 1 |
| DOIs |
|
| Publication status | Published - 1 Jan 2002 |
Erratum: An analytic approach to credit risk of large corporate bond and loan portfolios (Journal of Banking and Finance 25, 9 (1635-1664) PII: S0378-4266(00)00147-3)
André Lucas, Pieter Klaassens, Peter Spreij, Stefan Straetmans*
*Corresponding author for this work
Research output: Contribution to Journal › Comment / Letter to the editor › Professional