labfans
2009-04-09, 02:47
By combining two increasingly popular statistical methods, you can efficiently manage risk and characterize the behavior of portfolios during financial and economic crises.
更多... (http://www.mathworks.com/company/newsletters/digest/2007/july/copulas.html)
更多... (http://www.mathworks.com/company/newsletters/digest/2007/july/copulas.html)