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language:"eng"
subject:"Risikomaß"
~accessRights:"restricted"
~isPartOf:"Journal of risk"
~isPartOf:"SpringerLink / Bücher"
~person:"Arici, G."
~person:"Bender, Micha"
~subject:"Kreditrisiko"
~subject:"Risk management"
~subject:"World"
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Arici, G.
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A general framework for the identification and categorization of risk : an application to the context of financial markets
Bender, Micha
;
Panz, Sven
- In:
Journal of risk
23
(
2021
)
4
,
pp. 21-49
Persistent link: https://www.econbiz.de/10012593434
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From log-optimal portfolio theory to risk measures : logarithmic expected shortfall
Arici, G.
;
Dalai, M.
;
Leonardi, Roberto
- In:
Journal of risk
22
(
2019
)
2
,
pp. 37-58
Persistent link: https://www.econbiz.de/10013177108
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