Recenzie Analyzing and Modeling Multivariate Association

Analyzing and Modeling Multivariate Association

Analyzing and Modeling Multivariate Association

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Many applications in quantitative finance, such as the estimation of the Value-at-Risk of a portfolio, require the modeling of dependencies of a large number of random variables. The most popular approach is Pearson\'s correlation coefficient, which is based on the covariance, i. e. the mixed... prečítať celé 

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