Beyond Bayesian vs. VaRR Dilemma to Empirical Model Risk Management: How to Manage Risk (After Risk Management Has Failed) for Hedge Funds
2021 ◽
2007 ◽
Vol 34
(1)
◽
pp. 127-134
◽
2006 ◽
Vol 20
(4)
◽
pp. 472-491
◽