Risk Everywhere: Modeling and Managing Volatility
Publication
, Other
Bollerslev, T; Hood, B; Huss, J; Pedersen, LH
January 26, 2016
Duke Scholars
Publication Date
January 26, 2016
Related Subject Headings
- Finance
- 3801 Applied economics
- 3502 Banking, finance and investment
- 1502 Banking, Finance and Investment
- 1402 Applied Economics
- 1401 Economic Theory
Citation
APA
Chicago
ICMJE
MLA
NLM
Bollerslev, T., Hood, B., Huss, J., & Pedersen, L. H. (2016). Risk Everywhere: Modeling and Managing Volatility.
Bollerslev, T., B. Hood, J. Huss, and L. H. Pedersen. “Risk Everywhere: Modeling and Managing Volatility,” January 26, 2016.
Bollerslev T, Hood B, Huss J, Pedersen LH. Risk Everywhere: Modeling and Managing Volatility. 2016.
Bollerslev, T., et al. Risk Everywhere: Modeling and Managing Volatility. 26 Jan. 2016.
Bollerslev T, Hood B, Huss J, Pedersen LH. Risk Everywhere: Modeling and Managing Volatility. 2016.
Publication Date
January 26, 2016
Related Subject Headings
- Finance
- 3801 Applied economics
- 3502 Banking, finance and investment
- 1502 Banking, Finance and Investment
- 1402 Applied Economics
- 1401 Economic Theory