Financial Economics, Risk and Information
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Publication:3008946
DOI10.1142/8177zbMath1360.91002OpenAlexW4205245463MaRDI QIDQ3008946
Publication date: 23 June 2011
Full work available at URL: https://doi.org/10.1142/8177
Statistical methods; risk measures (91G70) General equilibrium theory (91B50) Portfolio theory (91G10) Introductory exposition (textbooks, tutorial papers, etc.) pertaining to game theory, economics, and finance (91-01)
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