Publication: Risk Measures and their Applications in Quantitative Finance
Risk Measures and their Applications in Quantitative Finance
Date
Date
Date
2022
Dissertation
Published version
Citations
Smirnow, A. (2022). Risk Measures and their Applications in Quantitative Finance. (Dissertation, University of Zurich)
Additional indexing
Creators (Authors)
Faculty
Faculty
Faculty
Faculty of Economics
Item Type
Item Type
Item Type
Dissertation
Referees
Language
Language
Language
English
Publication date
Publication date
Publication date
2022
Date available
Date available
Date available
2023-02-03
OA Status
OA Status
OA Status
Closed
Citations
Smirnow, A. (2022). Risk Measures and their Applications in Quantitative Finance. (Dissertation, University of Zurich)
Closed
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