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DOI
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Affiliation
ISSN
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Asymptotic Analysis for Spectral Risk Measures Parameterized by Confidence Level
(Articles)
Takashi Kato
Journal of Mathematical Finance
Vol.8 No.1
, February 28, 2018
DOI:
10.4236/jmf.2018.81015
1,129
Downloads
2,417
Views
Citations
Correlation Risk in the Context of Market Turbulences during the COVID-19 Pandemic and BCBS Stress Testing Principles
(Articles)
Fidelio Tata
Journal of Mathematical Finance
Vol.10 No.4
, November 4, 2020
DOI:
10.4236/jmf.2020.104036
673
Downloads
2,869
Views
Citations
GIS Application in Urban Flood Risk Analysis: Midar as a Case Study
(Articles)
Adil Akallouch
,
Ayoub Al Mashoudi
,
Mouloud Ziani
,
Rachid Elhani
Open Journal of Ecology
Vol.14 No.2
, February 28, 2024
DOI:
10.4236/oje.2024.142009
1,055
Downloads
3,967
Views
Citations
Operational Risk Management in Moroccan Public Universities: An Exploratory Study
(Articles)
Sarra Gazoulit
,
Khadija Oubal
Creative Education
Vol.17 No.5
, May 27, 2026
DOI:
10.4236/ce.2026.175050
33
Downloads
153
Views
Citations
Option Pricing and Hedging for Discrete Time Regime-Switching Models
(Articles)
Bruno Rémillard
,
Alexandre Hocquard
,
Hugo Lamarre
,
Nicolas Papageorgiou
Modern Economy
Vol.8 No.8
, August 4, 2017
DOI:
10.4236/me.2017.88070
1,619
Downloads
3,616
Views
Citations
This article belongs to the Special Issue on
Econometrics
Efficient Density Estimation and Value at Risk Using Fejér-Type Kernel Functions
(Articles)
Olga Kosta
,
Natalia Stepanova
Journal of Mathematical Finance
Vol.5 No.5
, November 30, 2015
DOI:
10.4236/jmf.2015.55040
5,309
Downloads
7,371
Views
Citations
This article belongs to the Special Issue on
Density Estimation in Finance
Strong Consistency of CVaR Optimal Estimator
(Articles)
Xiaolin Li
Open Journal of Statistics
Vol.8 No.3
, May 28, 2018
DOI:
10.4236/ojs.2018.83027
936
Downloads
2,230
Views
Citations
Decision Support System in Determination Risk Management System Model in State Universities Public Service Agency
—Case Study at the Universitas Pembangunan Nasional Veteran Yogyakarta
(Articles)
Sutoyo  
,
Agus Santosa
,
Gita Astyka Rahmanda
,
Muhammad Aziz Eko
Journal of Financial Risk Management
Vol.13 No.1
, February 19, 2024
DOI:
10.4236/jfrm.2024.131006
297
Downloads
1,211
Views
Citations
Risk Management Instruments, Strategies and Impacts in the Complex Organizations
(Articles)
Federico De Andreis
,
Marco Florio
American Journal of Industrial and Business Management
Vol.9 No.5
, May 20, 2019
DOI:
10.4236/ajibm.2019.95078
1,526
Downloads
3,932
Views
Citations
Developing Guideline for Risk Management of Tunnel Construction in Ethiopia
(Articles)
Nigussie Hailemariam Gebremeskel
,
Henok Fikre Gebregziabher
Open Journal of Safety Science and Technology
Vol.11 No.4
, December 23, 2021
DOI:
10.4236/ojsst.2021.114012
600
Downloads
2,405
Views
Citations
Common Management Process Model of New TQM Based on the Situation Analysis
(Articles)
Kazuhiro Esaki
Intelligent Information Management
Vol.8 No.6
, November 23, 2016
DOI:
10.4236/iim.2016.86013
2,116
Downloads
5,039
Views
Citations
On the Risks and Costs Methodologies Applied for the Improvement of the Warranty Management
(Articles)
Vicente González Díaz
,
François Pérès
,
Adolfo Crespo Márquez
Journal of Service Science and Management
Vol.4 No.2
, June 16, 2011
DOI:
10.4236/jssm.2011.42023
6,300
Downloads
11,498
Views
Citations
Efficient Estimation of Distributional Tail Shape and the Extremal Index with Applications to Risk Management
(Articles)
Travis R. A. Sapp
Journal of Mathematical Finance
Vol.6 No.4
, November 9, 2016
DOI:
10.4236/jmf.2016.64046
1,810
Downloads
3,867
Views
Citations
This article belongs to the Special Issue on
Portfolio Theory and Risk Management
Is the Great Moderation Ending?——UK and US Evidence
(Articles)
Giorgio Canarella
,
Wen-Shwo Fang
,
Stephen M. Miller
,
Stephen K. Pollard
Modern Economy
Vol.1 No.1
, June 7, 2010
DOI:
10.4236/me.2010.11002
4,942
Downloads
9,568
Views
Citations
Bayesian Markov Regime-Switching Models for Cointegration
(Articles)
Kai Cui
,
Wenshan Cui
Applied Mathematics
Vol.3 No.12
, December 14, 2012
DOI:
10.4236/am.2012.312259
7,579
Downloads
12,517
Views
Citations
Identification and Estimation of Gaussian Affine Term Structure Models with Regime Switching
(Articles)
Gang Wang
Journal of Mathematical Finance
Vol.4 No.3
, April 22, 2014
DOI:
10.4236/jmf.2014.43014
4,990
Downloads
7,355
Views
Citations
Crisis, Value at Risk and Conditional Extreme Value Theory via the NIG + Jump Model
(Articles)
Samuel Y. M. Ze-To
Journal of Mathematical Finance
Vol.2 No.3
, August 31, 2012
DOI:
10.4236/jmf.2012.23025
7,712
Downloads
12,359
Views
Citations
Foreign Currency Derivatives and Firm Value: Evidence from New Zealand
(Articles)
Hao Li
,
Nuttawat Visaltanachoti
,
Robin H. Luo
Journal of Financial Risk Management
Vol.3 No.3
, September 10, 2014
DOI:
10.4236/jfrm.2014.33010
6,024
Downloads
9,714
Views
Citations
The Enterprise Risk Management and the Risk Oriented Internal Audit
(Articles)
Jie Liu
iBusiness
Vol.4 No.3
, September 28, 2012
DOI:
10.4236/ib.2012.43036
11,110
Downloads
19,441
Views
Citations
Implications of the Reanalysis and Weight of Evidence Determination of Human Health Studies for Exposure to Perchlorates under Cumulative and Aggregate Risk Assessment
(Articles)
Douglas Crawford-Brown
,
Sean Crawford-Brown
Journal of Environmental Protection
Vol.7 No.12
, November 14, 2016
DOI:
10.4236/jep.2016.712142
1,598
Downloads
2,608
Views
Citations
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