Two Useful Techniques for Financial Modelling Problems
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Publication:2786204
DOI10.1080/13504860903257666zbMath1233.91323OpenAlexW2047853822MaRDI QIDQ2786204
Publication date: 21 September 2010
Published in: Applied Mathematical Finance (Search for Journal in Brave)
Full work available at URL: https://doi.org/10.1080/13504860903257666
Applications of statistics to actuarial sciences and financial mathematics (62P05) Statistical methods; risk measures (91G70) Measures of association (correlation, canonical correlation, etc.) (62H20)
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