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]

Authors

Józef Korbicz

This author has not been identified. Look up 'Józef Korbicz' in Google

Petro Bidyuk

This author has not been identified. Look up 'Petro Bidyuk' in Google

Nataliia Kuznietsova

This author has not been identified. Look up 'Nataliia Kuznietsova' in Google

Arsenii Kroptya

This author has not been identified. Look up 'Arsenii Kroptya' in Google

Oleksandr Terentiev

This author has not been identified. Look up 'Oleksandr Terentiev' in Google

Tetyana Prosiankina-Zharova

This author has not been identified. Look up 'Tetyana Prosiankina-Zharova' in Google