Georg Mainik

According to our database1, Georg Mainik authored at least 2 papers between 2010 and 2015.

Collaborative distances:
  • Dijkstra number2 of six.
  • Erdős number3 of four.

Timeline

Legend:

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Article 
PhD thesis 
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Links

On csauthors.net:

Bibliography

2015
Risk aggregation with empirical margins: Latin hypercubes, empirical copulas, and convergence of sum distributions.
J. Multivar. Anal., 2015

2010
On optimal portfolio diversification with respect to extreme risks.
Finance Stochastics, 2010


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