Financial risk forecastingde Jón DaníelssonMateriasSimulation methodsForecastingFinancial futuresFinancial risk managementEdiciones (1)Financial risk forecasting (2011)John Wiley · inglés · ISBN 9780470669433Más obras de Jón DaníelssonEExtreme returns, tail estimation, and value-at-riskExtreme returns, tail estimation, and value-at-riskTThe emperor has no clothesThe emperor has no clothesTTail index and quantile estimation with very high frequency Tail index and quantile estimation with very high frequency data
EExtreme returns, tail estimation, and value-at-riskExtreme returns, tail estimation, and value-at-risk
TTail index and quantile estimation with very high frequency Tail index and quantile estimation with very high frequency data