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RISK MANAGEMENT INSTITUTE
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RISK MANAGEMENT INSTITUTE
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1
Optimal bandwidth selection for nonparametric conditional distribution and quantile functions
by
Li, Q.
,
Lin, J.
,
Racine, J.S.
Published 2016
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2
Understanding and predicting bank rating transitions using optimal survival analysis models
by
Louis, P.
,
Van Laere, E.
,
Baesens, B.
Published 2016
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3
Asymptotic simplification of Aggregation-Diffusion equations towards the heat kernel
by
Carrillo, Jose A.
,
Gomez-Castro, David
,
Yao, Yao
,
Zeng, Chongchun
Published 2021
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4
Cross-country IPOs: What explains differences in underpricing?
by
Banerjee, S.
,
Dai, L.
,
Shrestha, K.
Published 2016
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5
Measuring tail risks
by
Chen, K
,
Cheng, T
Published 2023
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6
Strategy research in Asia
by
Delios, A.
,
Xu, W.W.
,
Singh, K.
Published 2016
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7
Can night trading sessions improve forecasting performance of gold futures' volatility in China?
by
YAO XUAN
,
Hui, X
,
Kang Kaican
Published 2022
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8
Forecasting simultaneously high-dimensional time series: A robust model-based clustering approach
by
Wang, Y.
,
Tsay, R.S.
,
Ledolter, J.
,
Shrestha, K.M.
Published 2016
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