Multivariate Distribution Model for Financial Risks Management

Józef Korbicz, Petro Bidyuk, Nataliia Kuznietsova, Arsenii Kroptya, Oleksandr Terentiev, Tetyana Prosiankina-Zharova. Multivariate Distribution Model for Financial Risks Management. In Tetiana Hovorushchenko, Algirdas Pakstas, Vladimir Vychuzhanin, Hang Yin, Nickolay Rudnichenko, editors, Proceedings of the 9th International Conference "Information Control Systems & Technologies", Odessa, Ukraine, September 24-26, 2020. Volume 2711 of CEUR Workshop Proceedings, pages 416-429, CEUR-WS.org, 2020. [doi]

Abstract

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