Modeling Financial Data Using Risk Measures with Interval...

Modeling Financial Data Using Risk Measures with Interval Analysis Approach

Dedu, Silvia, Şerban, Florentin
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Volume:
22
Year:
2015
Language:
english
Journal:
Procedia Economics and Finance
DOI:
10.1016/S2212-5671(15)00271-3
File:
PDF, 429 KB
english, 2015
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