STABLE DISTRIBUTION MODEL AND STABLE EXPECTED TAIL LOSS FINANCIAL PORTFOLIO OPTIMIZATIONS

Bachelor's

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Bibliographic Details
Main Author: MU XIAO
Other Authors: MATHEMATICS
Published: 2021
Online Access:https://scholarbank.nus.edu.sg/handle/10635/202765
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Institution: National University of Singapore
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spelling sg-nus-scholar.10635-2027652021-10-12T03:40:09Z STABLE DISTRIBUTION MODEL AND STABLE EXPECTED TAIL LOSS FINANCIAL PORTFOLIO OPTIMIZATIONS MU XIAO MATHEMATICS LOU JIANN HUA Bachelor's BACHELOR OF SCIENCE (HONOURS) 2021-10-12T03:11:22Z 2021-10-12T03:11:22Z 2011 MU XIAO (2011). STABLE DISTRIBUTION MODEL AND STABLE EXPECTED TAIL LOSS FINANCIAL PORTFOLIO OPTIMIZATIONS. ScholarBank@NUS Repository. https://scholarbank.nus.edu.sg/handle/10635/202765
institution National University of Singapore
building NUS Library
continent Asia
country Singapore
Singapore
content_provider NUS Library
collection ScholarBank@NUS
description Bachelor's
author2 MATHEMATICS
author_facet MATHEMATICS
MU XIAO
author MU XIAO
spellingShingle MU XIAO
STABLE DISTRIBUTION MODEL AND STABLE EXPECTED TAIL LOSS FINANCIAL PORTFOLIO OPTIMIZATIONS
author_sort MU XIAO
title STABLE DISTRIBUTION MODEL AND STABLE EXPECTED TAIL LOSS FINANCIAL PORTFOLIO OPTIMIZATIONS
title_short STABLE DISTRIBUTION MODEL AND STABLE EXPECTED TAIL LOSS FINANCIAL PORTFOLIO OPTIMIZATIONS
title_full STABLE DISTRIBUTION MODEL AND STABLE EXPECTED TAIL LOSS FINANCIAL PORTFOLIO OPTIMIZATIONS
title_fullStr STABLE DISTRIBUTION MODEL AND STABLE EXPECTED TAIL LOSS FINANCIAL PORTFOLIO OPTIMIZATIONS
title_full_unstemmed STABLE DISTRIBUTION MODEL AND STABLE EXPECTED TAIL LOSS FINANCIAL PORTFOLIO OPTIMIZATIONS
title_sort stable distribution model and stable expected tail loss financial portfolio optimizations
publishDate 2021
url https://scholarbank.nus.edu.sg/handle/10635/202765
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