Estimation of Portfolio Return and the Value at Risk based upon a Class of Gaussian Mixture Distributions
Estimation of Portfolio Return and the Value at Risk based upon a Class of Gaussian Mixture Distributions
复制标题
基于一类高斯混合分布的投资组合收益和风险价值的估计
DOI:
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发表时间:
2011
期刊:
影响因子:
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通讯作者:
Meifen Chu
中科院分区:
文献类型:
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作者:
Kangrong Tan;Meifen Chu