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Mathematical finance / Economics / Finance / RiskMetrics / Modern portfolio theory / Credit risk / Expected shortfall / Risk / Merton Model / Financial risk / Actuarial science / Financial economics
Date: 2013-01-16 21:50:21
Mathematical finance
Economics
Finance
RiskMetrics
Modern portfolio theory
Credit risk
Expected shortfall
Risk
Merton Model
Financial risk
Actuarial science
Financial economics

CVaR and credit risk measurement

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