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"This book is an attempt to crystallize the early results of research that focusses on the basic modelling structure of financial systemic risk in a financial network. ... The book will be useful for those working and researching in the areas of systemic risk, financial networks and risk management." (Anatoliy Swishchuk, zbMATH 1369.91005, 2017)
"From a theoretician's point of view, I would say that the book is looking for sophisticated and advanced probabilistic models toexplain things that have already happened, and hoping to find a way to prevent those things from happening again. Therefore I would recommend the book to theoreticians and also to graduate students in mathematics." (George Stoica, Mathematical Reviews, October, 2016)