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Keyword [Generalized error distribution]
Result: 1 - 5 | Page: 1 of 1
1. VaR Method And Its Application In Risk Management Of China's Stock Market
2. Application In Chinese Stock Market Risk Measurement Var Method
3. Var Measurement And Empirical Research Based On EGARCH Model
4. Statistical Analysis Of The Shanghai Interbank Offered Rate
5. Bayesian Inference of Stochastic Volatility Models and Applications in Risk Management
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