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Keyword [student-t distribution]
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1. Improved Research On VaR Measuring Method Of The Financial Market Risk
2. Dynamic Value-at-Risk Based On Extreme Value Theory
3. Application In Chinese Stock Market Risk Measurement Var Method
4. VaR Models Based On Different Distribution
5. A Study On The Effects Of CSI 300 Stock Index Futures To The Spot Market Based On Skewness Distribution
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