Szilárd Pafka
From MaRDI portal
Person:212822
Available identifiers
zbMath Open pafka.szilardMaRDI QIDQ212822
List of research outcomes
![]() | This list is not complete and representing at the moment only items from zbMATH Open and arXiv. We are working on additional sources - please check back here soon! |
Publication | Date of Publication | Type |
---|---|---|
https://portal.mardi4nfdi.de/entity/Q5361360 | 2017-09-27 | Paper |
Noisy covariance matrices and portfolio optimization. II | 2003-02-05 | Paper |
Evaluating the RiskMetrics methodology in measuring volatility and Value-at-Risk in financial markets | 2001-10-23 | Paper |
Research outcomes over time
This page was built for person: Szilárd Pafka