Random sets in finance and econometrics

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. (Request a copy)

Item Type:

Book Section (Book Chapter)

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:

09 Aug 2016 07:49

URI:

https://boris.unibe.ch/id/eprint/4801 (FactScience: 209433)

Actions (login required)

Edit item Edit item
Provide Feedback