Mathematical risk analysis : dependence, risk bounds, optimal allocations and portfolios /
The author's particular interest in the area of risk measures is to combine this theory with the analysis of dependence properties. The present volume gives an introduction of basic concepts and methods in mathematical risk analysis, in particular of those parts of risk theory that are of speci...
Sábháilte in:
Príomhchruthaitheoir: | |
---|---|
Údar corparáideach: | |
Formáid: | Ríomhleabhar |
Teanga: | English |
Foilsithe / Cruthaithe: |
Berlin, Heidelberg
Springer Berlin Heidelberg
2013.
|
Sraith: | Springer Series in Operations Research and Financial Engineering
|
Ábhair: | |
Rochtain ar líne: | Click here to view the full text content |
Clibeanna: |
Cuir clib leis
Níl clibeanna ann, Bí ar an gcéad duine le clib a chur leis an taifead seo!
|
Cothabháil á déanamh ar an gcóras
Níl fáil ar ár mbunachar sonraí beo faoi láthair.
Labhair le ball foirne sula gcuirfidh tú iarratas isteach toisc go bhféadfadh sé nach bhfuil an fhaisnéis atá á taispeáint anseo cothrom le dáta.