Almira Biglova
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Person:3374066
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 |
|---|---|---|
| Portfolio selection based on a simulated copula | 2010-08-27 | Paper |
| A note on the impact of nonlinear reward and risk measures | 2010-08-27 | Paper |
| DESIRABLE PROPERTIES OF AN IDEAL RISK MEASURE IN PORTFOLIO THEORY International Journal of Theoretical and Applied Finance | 2008-08-26 | Paper |
| THE PROPER USE OF RISK MEASURES IN PORTFOLIO THEORY International Journal of Theoretical and Applied Finance | 2006-10-16 | Paper |
| scientific article; zbMATH DE number 5038977 (Why is no real title available?) | 2006-07-06 | Paper |
| scientific article; zbMATH DE number 5010398 (Why is no real title available?) | 2006-03-09 | Paper |
Research outcomes over time
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