RIGHT-TAIL INFORMATION IN FINANCIAL MARKETS

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Publication:4979935


DOI10.1017/S0266466613000133zbMath1290.91194MaRDI QIDQ4979935

Zhijie Xiao

Publication date: 20 June 2014

Published in: Econometric Theory (Search for Journal in Brave)


62P05: Applications of statistics to actuarial sciences and financial mathematics

91G70: Statistical methods; risk measures

62G32: Statistics of extreme values; tail inference


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