Please use this identifier to cite or link to this item: https://scholarbank.nus.edu.sg/handle/10635/202765
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dc.titleSTABLE DISTRIBUTION MODEL AND STABLE EXPECTED TAIL LOSS FINANCIAL PORTFOLIO OPTIMIZATIONS
dc.contributor.authorMU XIAO
dc.date.accessioned2021-10-12T03:11:22Z
dc.date.available2021-10-12T03:11:22Z
dc.date.issued2011
dc.identifier.citationMU XIAO (2011). STABLE DISTRIBUTION MODEL AND STABLE EXPECTED TAIL LOSS FINANCIAL PORTFOLIO OPTIMIZATIONS. ScholarBank@NUS Repository.
dc.identifier.urihttps://scholarbank.nus.edu.sg/handle/10635/202765
dc.typeThesis
dc.contributor.departmentMATHEMATICS
dc.contributor.supervisorLOU JIANN HUA
dc.description.degreeBachelor's
dc.description.degreeconferredBACHELOR OF SCIENCE (HONOURS)
Appears in Collections:Bachelor's Theses

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