Optimal numeraires for risk measures
Year of publication: |
2008
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Authors: | Filipović, Damir |
Published in: |
Mathematical finance : an international journal of mathematics, statistics and financial theory. - Malden, Mass. [u.a] : Wiley-Blackwell, ISSN 0960-1627, ZDB-ID 1073194-5. - Vol. 18.2008, 2, p. 333-336
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Subject: | Risiko | Risk | Messung | Measurement | Kapitalbedarf | Capital requirements | Kreditwürdigkeit | Credit rating | Theorie | Theory |
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