Extreme value theory for finance: a survey
Year of publication: |
2011-07
|
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Authors: | Rocco, Marco |
Institutions: | Banca d'Italia |
Subject: | extreme value theory | risk management | fat-tailed distributions | Value-at-Risk | systemic risk | asset allocation |
Extent: | application/pdf |
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Series: | |
Type of publication: | Book / Working Paper |
Language: | English |
Notes: | Number 99 |
Classification: | C10 - Econometric and Statistical Methods: General. General ; G10 - General Financial Markets. General ; G20 - Financial Institutions and Services. General ; G21 - Banks; Other Depository Institutions; Mortgages |
Source: |
-
Extreme Value Theory for Finance : A Survey
Rocco, Marco, (2012)
-
Extrem value theory in finance : a survey
Rocco, Marco, (2014)
-
Short-selling, leverage and systemic risk
Pais, Amelia, (2013)
- More ...
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Allevi, Elisabetta, (2013)
-
Allevi, Elisabetta, (2013)
-
Extrem value theory in finance : a survey
Rocco, Marco, (2014)
- More ...