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A new measure between sets of probability distributions with applications to erratic financial behavior - MaRDI portal

A new measure between sets of probability distributions with applications to erratic financial behavior (Q5020029)

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scientific article; zbMATH DE number 7451709
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A new measure between sets of probability distributions with applications to erratic financial behavior
scientific article; zbMATH DE number 7451709

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    A new measure between sets of probability distributions with applications to erratic financial behavior (English)
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    3 January 2022
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    nonlinear dynamics
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    critical phenomena of socio-economic systems
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    quantitative finance
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    risk measure and management
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