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Journal of Mathematical Finance
Submission
Journal of Mathematical Finance
ISSN Print:
2162-2434
ISSN Online:
2162-2442
www.scirp.org/journal/jmf
E-mail:
jmf@scirp.org
Google-based Impact Factor:
0.87
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"
Measuring Black Swans in Financial Markets
"
written by
J. T. Manhire
,
published by
Journal of Mathematical Finance
,
Vol.8 No.1, 2018
has been cited by the following article(s):
Google Scholar
CrossRef
[1]
Time Series Modeling of Extreme Losses Values Based on a Spectral Analysis Approach
2021
[2]
مدلسازی سری زمانی مقادیر فرین بر اساس رویکرد تحلیل طیفی
2021
[3]
Analýza černých labutí a jejich vliv na finanční trhy
2021
[4]
Superkurtosis
Journal of Money …
,
2021
[5]
Forecasting S&P 500 spikes: an SVM approach
2020
[6]
Empirical Analysis Of “Black Swan Effect”: Evidence Of China
2020
[7]
Empirical analysis of 'black swan effect': evidence of China
2020
[1]
Superkurtosis
Journal of Money, Credit and Banking
,
2023
DOI:
10.1111/jmcb.12988
[2]
Forecasting S&P 500 Spikes: An SVM Approach
SSRN Electronic Journal
,
2023
DOI:
10.2139/ssrn.4611314
[3]
Superkurtosis
Journal of Money, Credit and Banking
,
2022
DOI:
10.1111/jmcb.12988
[4]
Forecasting S&P 500 spikes: an SVM approach
Digital Finance
,
2020
DOI:
10.1007/s42521-020-00024-0
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