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A duality approach to the worst case value at risk for a sum of dependent random variables with known covariances

Economy – Quantitative Finance – Risk Management
Scientific paper

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A Dynamic Correlation Modelling Framework with Consistent Stochastic Recovery

Economy – Quantitative Finance – Pricing of Securities
Scientific paper

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A dynamic hybrid model based on wavelets and fuzzy regression for time series estimation

Economy – Quantitative Finance – Statistical Finance
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A Dynamic Model for Credit Index Derivatives

Economy – Quantitative Finance – Pricing of Securities
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A dynamic nonlinear model for saturation in industrial growth

Economy – Quantitative Finance – General Finance
Scientific paper

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A Dynamical Approach to Operational Risk Measurement

Economy – Quantitative Finance – Risk Management
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A Dynamical Model for Forecasting Operational Losses

Economy – Quantitative Finance – Risk Management
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A Fast Mean-Reverting Correction to Heston's Stochastic Volatility Model

Economy – Quantitative Finance – Pricing of Securities
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A finite dimensional approximation for pricing moving average options

Economy – Quantitative Finance – Pricing of Securities
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A Finite Element Framework for Option Pricing with the Bates Model

Economy – Quantitative Finance – Computational Finance
Scientific paper

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A finite-dimensional quantum model for the stock market

Economy – Quantitative Finance – General Finance
Scientific paper

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A flexible matrix Libor model with smiles

Economy – Quantitative Finance – Pricing of Securities
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A Fourier transform method for spread option pricing

Economy – Quantitative Finance – Computational Finance
Scientific paper

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A framework for adaptive Monte-Carlo procedures

Economy – Quantitative Finance – Computational Finance
Scientific paper

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A framework for analyzing contagion in banking networks

Economy – Quantitative Finance – General Finance
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A General Evaluation Method for the Diabatic Journal Bearing

Economy
Scientific paper

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A general method for debiasing a Monte Carlo estimator

Economy – Quantitative Finance – Computational Finance
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A Generalized Continuous Model for Random Markets

Economy – Quantitative Finance – General Finance
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A Generalized Fourier Transform Approach to Risk Measures

Economy – Quantitative Finance – Risk Management
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A Goal Programming Model for Optimal Portfolio Diversification

Economy – Quantitative Finance – Portfolio Management
Scientific paper

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