Results

eNauka >  Results >  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

Find the DOI


Google ScholarTM

Items in eNauka are protected by copyright, with all rights reserved, unless otherwise indicated.