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Pfaff, Bernhard, author.
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Financial risk -- Mathematical models.
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Pfaff, Bernhard.
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Financial risk -- Mathematical models.
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, typically used as risk-free assets in mathematical finance, on the independence of the common factors with
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internationally renowned experts in mathematical finance, and later written up for this volume which develops, in
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valuation models: the risk-neutral valuation theory * Risk analysis in insurance An Introduction to
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