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Modelling of financial risk using forward-looking distributions derived from contingent claims
Unknown author
(
University of Pretoria
,
2022
)
Time-varying volatility models and indices : a GARCH option pricing approach
Unknown author
(
University of Pretoria
,
2022
)
Top-down stress testing of the largest full service South African banks
Unknown author
(
University of Pretoria
,
2020
)
Quantitative topics in portfolio and risk management
Unknown author
(
University of Pretoria
,
2019
)
Improving our understanding of the equal weighted portfolio
Unknown author
(
University of Pretoria
,
2022
)
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