Vol-2710⫷ Vol-2711 ⫸Vol-2712
urn:nbn:de:0074-2711-0


Vol-2711/paper31⫷Vol-2711/paper32⫸Vol-2711/paper33
Petro BidyukNataliia KuznietsovaArsenii KroptyaOleksandr TerentievTetyana Prosiankina-ZharovaJózef Korbicz

Multivariate Distribution Model for Financial Risks Management