Innovative Approaches to Risk Management and Financial Derivatives: Insights from Recent Research
The mn focus of this special issue on Risk Management and Financial Derivatives is to highlight significant advancements and innovative approaches in econometric methods, financial...
Risk Management Strategies with Financial Derivatives Conditional Correlations Volatility Spillovers Analysis Exotic Option Pricing Using the Wang Transform SP500 Variance Futures Lifecycle Dynamics Predicting Volatility with Multifractal Models Integration Mean Variance Ratio Test for CTA Performance Evaluation
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