EconBiz - Find Economic Literature
    • Logout
    • Change account settings
  • EN 
    • DE
    • ES
    • FR
  • A-Z
  • Beta
  • About EconBiz
  • News
  • Thesaurus (STW)
  • Research Skills
  • Help
  • EN 
    • DE
    • ES
    • FR
  •  My account 
    • Logout
    • Change account settings
  • Login
EconBiz - Find Economic Literature
Publications Events
Search options
Advanced Search history
My EconBiz
Favorites Loans Reservations Fines
    You are here:
  • Home
  • Risk management and optimizati...
  • More details
Cover Image

Risk management and optimization in finance

Year of publication:
2006
Authors: Krokhmal, Pavlo ; Rockafellar, R. Tyrrell ; Uryasev, Stan
Published in:
Journal of Banking & Finance. - Elsevier, ISSN 0378-4266. - Vol. 30.2006, 2, p. 315-315
Publisher: Elsevier
Check full text access |
More access options
Check Google Scholar
In libraries world-wide (WorldCat)
In German libraries (KVK)
subito order
I need help
  • More details
Type of publication: Article
Source:
RePEc - Research Papers in Economics
    • EndNote - Citavi, Endnote, RefWorks, ...
    • BibTeX - Zotero, Mendeley, RefWorks, ...
    • Text
Saved in favorites
    Similar items by person
    • Risk management and optimization in finance

      Krokhmal, Pavlo, (2006)

    • Risk tuning with generalized linear regression

      Rockafellar, Ralph Tyrrell, (2008)

    • Equilibrium with investors using a diversity of deviation measures

      Rockafellar, Ralph Tyrrell, (2007)

    • More ...
    Questions? Chat with us

    Questions? Chat with us

    Loading...
     Searching for statistics or facts?
    • Sitemap
    • Contact us
    • Imprint
    • Privacy

    Loading...