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Multivariate Distribution Model for Financial Risks Management.
Multivariate Distribution Model for Financial Risks Management.
2020
Józef Korbicz
Petro Bidyuk
Nataliia V. Kuznietsova
Arsenii Kroptya
Oleksandr M. Terentiev
Tetyana Ivanivna Prosiankina-Zharova
Keywords:
Financial risk
Actuarial science
Multivariate normal distribution
Computer science
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