Publication:
How Often is the Financial Market Going to Collapse?

cris.customurl 8302
cris.virtual.department Angewandte Stochastik und Risikomanagement
cris.virtual.departmentbrowse Angewandte Stochastik und Risikomanagement
cris.virtual.departmentbrowse Angewandte Stochastik und Risikomanagement
cris.virtual.departmentbrowse Angewandte Stochastik und Risikomanagement
cris.virtualsource.department a9d49f91-9465-4fcd-b19d-7b230d9cf851
dc.contributor.author Frahm, Gabriel
dc.date.issued 2018
dc.description.version NA
dc.identifier.uri https://openhsu.ub.hsu-hh.de/handle/10.24405/8302
dc.identifier.url https://www.hsu-hh.de/stochastik/wp-content/uploads/sites/772/2018/03/AP-2018-05.pdf
dc.language.iso en
dc.publisher Helmut-Schmidt-Universität / Universität der Bundeswehr Hamburg, Chair for Applied Stochastics and Risk Management
dc.relation.journal Working Paper / Helmut-Schmidt-Universität, Chair for Applied Stochastics and Risk Management
dc.relation.orgunit Angewandte Stochastik und Risikomanagement
dc.rights.accessRights metadata only access
dc.title How Often is the Financial Market Going to Collapse?
dc.type Working paper
dcterms.bibliographicCitation.originalpublisherplace Hamburg
dspace.entity.type Publication
hsu.uniBibliography
oaire.citation.issue 5
oaire.citation.volume 2018
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