Molchanov, Ilya (2010). Random sets in finance and econometrics. In: Kendall, W.S.; Molchanov, I. (eds.) New Perspectives in Stochastic Geometry (pp. 555-572). Oxford: Oxford University Press
Full text not available from this repository.Item Type: |
Book Section (Book Chapter) |
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Division/Institute: |
08 Faculty of Science > Department of Mathematics and Statistics > Institute of Mathematical Statistics and Actuarial Science |
UniBE Contributor: |
Molchanov, Ilya |
Publisher: |
Oxford University Press |
Language: |
English |
Submitter: |
Lutz Dümbgen |
Date Deposited: |
04 Oct 2013 14:16 |
Last Modified: |
05 Dec 2022 14:04 |
URI: |
https://boris.unibe.ch/id/eprint/4801 (FactScience: 209433) |