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Incomplete financial markets model with nominal assets: variational approach - MaRDI portal

Incomplete financial markets model with nominal assets: variational approach (Q2408639)

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Incomplete financial markets model with nominal assets: variational approach
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    Incomplete financial markets model with nominal assets: variational approach (English)
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    12 October 2017
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    convex programming
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    general equilibrium
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    incomplete financial markets
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    nominal assets
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    variational inequality
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