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Svetlozar T. Rachev

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Rachev Svetlozar T., Fabozzi Frank J., Stoyanov Stoyan V.:
Advanced Stochastic Models, Risk Assessment, And Portfolio Optimization

The Ideal Risk, Uncertainty, And Performance Measures
John Wiley And Sons Ltd (United Kingdom), 2008
Hardback, 382 pages

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Rachev Svetlozar T., Hsu John S.J., Bagasheva Biliana S., Fabozzi Frank J.:
Bayesian Methods In Finance

John Wiley And Sons Ltd (United States), 2008
Hardback, 330 pages

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Chernobai Anna S., Rachev Svetlozar T., Fabozzi Frank J.:
Operational Risk

A Guide To Basel Ii Capital Requirements, Models, And Analysis
John Wiley And Sons Ltd (United States), 2007
Hardback, 300 pages

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Fabozzi Frank J., Focardi Sergio M., Rachev Svetlozar T., Mittnik Stefan, Jasic Teo:
Financial Econometrics

From Basics To Advanced Modeling Techniques
John Wiley And Sons Ltd (United States), 2007
Hardback, 576 pages

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Klebanov Lev, Kozubowski T., Rachev Svetlozar T.:
Ill-Posed Problems In Probability And Stability Of Random Sums

Nova Science Publishers Inc (United States), 2007
Hardback, 435 pages

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Fabozzi Frank J., Rachev Svetlozar T., Menn Christian:
Fat-Tailed And Skewed Asset Return Distributions

Implications For Risk Management, Portfolio Selection, And Option Pricing
John Wiley And Sons Ltd (United States), 2005
Hardback, 370 pages

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Handbook Of Heavy Tailed Distributions In Finance

Editor: Svetlozar T. Rachev
Elsevier Science & Technology (United Kingdom), 2003
Hardback, 704 pages

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Klebanov Lev B., Rachev Svetlozar T., Fabozzi Frank J.:
Robust And Non-Robust Models In Statistics

Nova Science Publishers Inc (United States), 2009
Hardback

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