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Editorial for Challenge
Authors:Ramo Gençay  Amir Yaron  Dirk Hackbarth  Andrea Eisfeldt
Institution:1. School of Finance and China Financial Policy Research Center, Renmin University of China, Beijing, China;2. Center for Applied Statistics, School of Statistics, Renmin University of China, Beijing 100872, China;1. Department of Mathematics and Statistics, University of Calgary, Calgary, Canada;2. Financial Engineering Division, School of Systems and Enterprises, Stevens Institute of Technology, Hoboken, NJ, USA;3. Faculty of Mathematics and Statistics, Universität Sankt Gallen, Switzerland and Centre National de la Recherche Scientifique (CNRS), France;1. The Business School, Bangor University, Hen Goleg, College Road, Bangor LL57 2DG, United Kingdom;2. Department of Economics, University of Calabria, Via Pietro Bucci, 87036 Arcavacata, Rende CS, Italy;3. The Business School, Bangor University, Hen Goleg, College Road, Bangor LL57 2DG, United Kingdom;1. School of Economics and Management, Shanxi University 92 Wucheng Road, Xiaodian District, Taiyuan, 030006 Shanxi Province, China;2. Financial Research Center, Fudan Development Institute (FDDI), Fudan University 220 Handan Road, Yangpu District, Shanghai 200433, China;3. Asper School of Business, University of Manitoba 181 Freedman Crescent Winnipeg, MB R3T 5V4 Canada
Abstract:
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