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FAT-TAILED AND SKEWED ASSET RETURN DISTRIBUTIONS: IMPLICATIONS FOR RISK MANAGEMENT, PORTFOLIO SELECTION, AND OPTION PRICING by RACHEV, SVETLOZAR T. (Hardcover - 2005) ISBN: 9780471718864 Subject: BUSINESS & FINANCE Publisher: JOHN WILEY & SONS, INC. |
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FINANCIAL ECONOMETRICS: FROM BASICS TO ADVANCED MODELING TECHNIQUES by RACHEV, SVETLOZAR T. (Hardcover - 2007) ISBN: 9780471784500 Subject: BUSINESS & FINANCE Publisher: JOHN WILEY & SONS, INC. |
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FINANCIAL MODELS WITH LEVY PROCESSES AND VOLATILITY CLUSTERING by RACHEV, SVETLOZAR T. (Hardcover - 2011) ISBN: 9780470482353 Subject: BUSINESS & FINANCE Publisher: JOHN WILEY |
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PROBABILITY AND STATISTICS FOR FINANCE by FABOZZI, FRANK J. (Hardcover - 2010) ISBN: 9780470400937 Subject: BUSINESS & FINANCE Publisher: JOHN WILEY |
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