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  1. The journal of risk model validation

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    London: Infopro Digital, 2007- ; London: Risk Journals, 2007-2017 / 1.2007 -

  2. Kleeberg, Jochen M. [Other]; Rehkugler, Heinz [Other]

    Handbuch Portfoliomanagement

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    Bad Soden/Ts.: Uhlenbruch, 1998

  3. Kennedy, Douglas [Author]

    Stochastic financial models

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    Boca Raton [u.a.]: CRC Press, Taylor & Francis, 2010

    Published in: Chapman & Hall/CRC financial mathematics series- A Chapman & Hall book

  4. Račev, Svetlozar T. [Other]; Hsu, John S. [Other]; Bagasheva, Biliana S. [Other]; Fabozzi, Frank J. [Other]

    Bayesian methods in finance

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    Hoboken, N.J.; [Chichester]: Wiley, c 2008

    Published in: The Frank J. Fabozzi series