Search Results - Rachev, S. T. (Svetlozar Todorov)
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1
Stable Paretian models in finance / by Rachev, S. T. (Svetlozar Todorov)
Published 2000Call Number: Loading…
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2
Advanced stochastic models, risk assessment, and portfolio optimization : the ideal risk, uncertainty, and performance measures / by Rachev, S. T. (Svetlozar Todorov)
Published 2008Call Number: Loading…
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3
Advanced stochastic models, risk assessment, and portfolio optimization : the ideal risk, uncertainty, and performance measures / by Rachev, S. T. (Svetlozar Todorov)
Published 2008Call Number: Loading…Full Text (via ProQuest)
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4
Mass transportation problems / by Rachev, S. T. (Svetlozar Todorov)
Published 1998Call Number: Loading…
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5
Mass transportation problems. by Rachev, S. T. (Svetlozar Todorov), Rüschendorf, Ludger, 1948-
Published 1998Call Number: Loading…Full Text (via Springer)
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6
Advanced REIT portfolio optimization : innovative tools for risk management / by Lindquist, W. Brent, 1953-, Rachev, S. T. (Svetlozar Todorov), Hu, Yuan, Shirvani, Abootaleb
Published 2022Call Number: Loading…Full Text (via Springer)
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7
The basics of financial econometrics : tools, concepts, and asset management applications / by Fabozzi, Frank J., Focardi, Sergio M., Rachev, S. T. (Svetlozar Todorov), Arshanapalli, Bala G.
Published 2014Call Number: Loading…
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8
Rating based modeling of credit risk : theory and application of migration matrices / by Trueck, Stefan
Published 2009Other Authors: “…Rachev, S. T. (Svetlozar Todorov)…”
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9
Financial models with Lévy processes and volatility clustering /
Published 2011Other Authors: “…Rachev, S. T. (Svetlozar Todorov)…”
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10
Handbook of heavy tailed distributions in finance /
Published 2003Other Authors: “…Rachev, S. T. (Svetlozar Todorov)…”
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11
Handbook of computational and numerical methods in finance /
Published 2004Other Authors: “…Rachev, S. T. (Svetlozar Todorov)…”
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12
Bayesian methods in finance /
Published 2008Other Authors: “…Rachev, S. T. (Svetlozar Todorov)…”
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13
Bayesian methods in finance /
Published 2008Other Authors: “…Rachev, S. T. (Svetlozar Todorov)…”
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14
Bayesian methods in finance
Published 2008Other Authors: “…Rachev, S. T. (Svetlozar Todorov)…”
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15
Financial econometrics from basics to advanced modeling techniques /
Published 2007Other Authors: “…Rachev, S. T. (Svetlozar Todorov)…”
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16
Rating based modeling of credit risk : theory and application of migration matrices / by Trueck, Stefan
Published 2009Other Authors: “…Rachev, S. T. (Svetlozar Todorov)…”
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17
Probability and statistics for finance /
Published 2010Other Authors: “…Rachev, S. T. (Svetlozar Todorov)…”
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18
Probability and statistics for finance /
Published 2010Other Authors: “…Rachev, S. T. (Svetlozar Todorov)…”
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19
Handbook of heavy tailed distributions in finance /
Published 2003Other Authors: “…Rachev, S. T. (Svetlozar Todorov)…”
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20
Rating based modeling of credit risk : theory and application of migration matrices / by Trueck, Stefan
Published 2009Other Authors: “…Rachev, S. T. (Svetlozar Todorov)…”
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Related Subjects
Mathematical models
Finance
Risk management
Statistical methods
Bayesian statistical decision theory
Credit
Credit ratings
Management
Portfolio management
Stochastic processes
Capital assets pricing model
Econometrics
Financial risk management
Mathematical optimization
Multivariate analysis
Operational risk
Probabilities
Probability measures
Risk assessment
Statistics
Transportation problems (Programming)
Approximation theory
Banks and banking
Distribution (Probability theory)
Econometric models
Investments
Lévy processes
Mathematical statistics
Mathematics
Options (Finance)