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"Multivariate Distribution Model for Financial Risks Management."
Józef Korbicz et al. (2020)
- Józef Korbicz, Petro Bidyuk, Nataliia Kuznietsova, Arsenii Kroptya, Oleksandr Terentiev, Tetyana Prosiankina-Zharova:
Multivariate Distribution Model for Financial Risks Management. ICST 2020: 416-429
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