Financial Modeling Under Non-Gaussian Distributions More Books Like This
Applied Quantitative Finance
2008
Extreme Financial Risks
2006
Mathematical and Statistical Methods for Actuarial Sciences and Finance
2012
Stochastic Finance
2006
Statistical Analysis of Extreme Values
2007
Introduction to Bayesian Estimation and Copula Models of Dependence
2017
Linear Models and Time-Series Analysis
2018
The Information Theory of Comparisons
2018
Advanced Modelling in Mathematical Finance
2016
Nonlinear Time Series Analysis
2018
Exploring Research Frontiers in Contemporary Statistics and Econometrics
2011
Econophysics of Stock and other Markets
2007
Innovations in Quantitative Risk Management
2015
Bayesian Inference in the Social Sciences
2014
Statistical Modelling and Regression Structures
2010