Finance, Economics and Mathematics (Q3463715)

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Finance, Economics and Mathematics
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    Finance, Economics and Mathematics (English)
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    20 January 2016
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    interest rate
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    term structure
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    general equilibrium
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    economics of interest rate
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    credit valuation
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    loan portfolio value
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    efficient market model
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    portfolio immunization
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    best-return strategy
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    risk analysis
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    Bayesian estimation
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    series expansion
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    conditional law of large number
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    waiting time
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