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This volume presents current research focusing on heavy tailed distributions in finance. The contributions cover methodological issues, i.e., probabilistic, statistical and econometric modelling under non- Gaussian assumptions, as well as the applications of the stable and other non -Gaussian models in finance and risk management.
Author: S. T. Rachev
ISBN-10: 1493302248
ISBN-13: 9781493302246
Publisher: North-Holland
Language: English
Published: 03/15/2003
Pages: 704
Format: Paperback
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