885507
9780444508966
This first volume of the 'Handbooks in Finance' series explores the application of heavy tailed distributions to the analysis of financial data. Heavy tailed distributions can be used to model real-world, fractal phenomena in a range of disciplines including finance and risk management.Rachev, Svetlozar T. is the author of 'Handbook of Heavy Tailed Distributions in Finance' with ISBN 9780444508966 and ISBN 0444508961.
[read more]