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  • Marmara Üniversitesi İktisadi ve İdari Bilimler Dergisi
  • Volume:18 Issue:1
  • Finansal Risk Yönetiminde Ekstrem Değer Teorisi

Finansal Risk Yönetiminde Ekstrem Değer Teorisi

Authors : Ömer ÖNALAN
Pages : 423-437
View : 17 | Download : 12
Publication Date : 2014-03-03
Article Type : Research Paper
Abstract :Bu çalışmada ekstrem riskin modellenmesi ve ölçümü için bir metot olarak, ekstrem değer teorisinin finansal risk yönetimindeki rolünü araştırıyoruz.
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