Editorial [Special issue: Statistical models for financial risk management]
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Publication:398800
DOI10.1007/S11009-008-9091-5zbMath1293.62005OpenAlexW4254668514WikidataQ61855810 ScholiaQ61855810MaRDI QIDQ398800
Publication date: 15 August 2014
Published in: Methodology and Computing in Applied Probability (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1007/s11009-008-9091-5
Applications of statistics to actuarial sciences and financial mathematics (62P05) Statistical methods; risk measures (91G70) Proceedings, conferences, collections, etc. pertaining to statistics (62-06) Proceedings, conferences, collections, etc. pertaining to game theory, economics, and finance (91-06)
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