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den Aufbau von Ungleichgewichten vor der Großen Rezession für die USA, Deutschland und China beschreibt. Das Hauptergebnis …
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My PhD thesis consists of three papers which study the nature, structure, dynamics and price of variance risks. As tool I make use of multivariate affine jump-diffusion models with matrix-valued state spaces. The first chapter proposes a new three-factor model for index option pricing. A core...
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