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An efficient method for market risk management under multivariate extreme value theory approach
| Title: | An efficient method for market risk management under multivariate extreme value theory approach | Authors: | Božović, Miloš |
Issue Date: | 2010 | Publication: | European Financial Management Association Meeting 2010 Annual Meetings, June 23-26, 2010, Aarhus, Denmark | Publisher: | European Financial Management Association | Type: | Conference Paper | Collation: | str. 53 p. | URI: | https://enauka.gov.rs/handle/123456789/238034 | URL: | https://www.nbs.rs/export/sites/NBS_site/documents/seminari/2010/Milos_Bozovic_naucni_rad.pdf | Metadata source: | Migrirano iz RIS podataka | M-category: | Mp. category will be shown later |
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