Pages that link to "Item:Q1621891"
From MaRDI portal
The following pages link to Preface: Analytical models for financial modeling and risk management (Q1621891):
Displaying 7 items.
- The state of financial modelling in 2012, as shaped by the GFC (Q301201) (← links)
- Financial statistics and risk management: an overview (Q308358) (← links)
- Financial modeling, risk management of energy and environmental instruments and derivatives: past, present, and future (Q2150831) (← links)
- Preface. Risk management decisions and value under uncertainty (Q2151631) (← links)
- Recommendation of investment portfolio for peer-to-peer lending with additional consideration of bidding period (Q2171338) (← links)
- Preface: Recent developments in financial modelling and risk management (Q2241050) (← links)
- Preface: Decision making and risk/return optimization in financial economics (Q2288886) (← links)