Mathematical Research Data Initiative
Main page
Recent changes
Random page
Help about MediaWiki
Create a new Item
Create a new Property
Merge two items
In other projects
MaRDI portal item
Discussion
View source
View history
Purge
English
Log in

Financial Economics, Risk and Information

From MaRDI portal
Publication:3008946
Jump to:navigation, search

DOI10.1142/8177zbMath1360.91002OpenAlexW4205245463MaRDI QIDQ3008946

Marcelo Bianconi

Publication date: 23 June 2011

Full work available at URL: https://doi.org/10.1142/8177



Mathematics Subject Classification ID

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)








This page was built for publication: Financial Economics, Risk and Information

Retrieved from "https://portal.mardi4nfdi.de/w/index.php?title=Publication:3008946&oldid=16031126"
Tools
What links here
Related changes
Special pages
Printable version
Permanent link
Page information
This page was last edited on 3 February 2024, at 21:33.
Privacy policy
About MaRDI portal
Disclaimers
Imprint
Powered by MediaWiki