VValue-at-risk and extreme returnsValue-at-risk and extreme returnsde Jon DanielssonEdiciones (1)Value-at-risk and extreme returns (1997)London School of Economics, Financial Markets Group · inglésMás obras de Jon DanielssonGlobal Financial SystemsFFuture of Banking RegulationFuture of Banking RegulationFFinancial Risk ForecastingFinancial Risk Forecasting