Copulas & Dependence
These are the top Copula & Correlation books sorted in order (best on top) according to popularity on DefaultRisk.com.
Copula Methods in Finance (The Wiley Finance Series)An Introduction to Copulas (Springer Series in Statistics)Associative Functions: Triangular Norms And Copulas
Copula Methods in Finance (The Wiley Financ...
by Umberto Cherubini
$128.00
An Introduction to Copulas (Springer Series...
by Roger B. Nelsen
$76.00
Associative Functions: Triangular Norms And...
by Claudi Alsina
$82.00
Modelling Extremal Events: for Insurance and Finance (Stochastic Modelling and Applied Probability)Fat-Tailed and Skewed Asset Return Distributions : Implications for Risk Management, Portfolio Selection, and Option PricingQuantitative Risk Management: Concepts, Techniques, and Tools (Princeton Series in Finance)
Modelling Extremal Events: for Insurance an...
by Paul Embrechts
$96.30
Fat-Tailed and Skewed Asset Return Distribu...
by Svetlozar T. Rachev
$52.13
Quantitative Risk Management: Concepts, Tec...
by Alexander J. McNeil
$72.25
Volatility and Correlation: The Perfect Hedger and the Fox (Wiley Finance)Extremes and Integrated Risk ManagementStatistics of Extremes
Volatility and Correlation: The Perfect Hed...
by Riccardo Rebonato
$104.62
Extremes and Integrated Risk Management
by RISK BOOKS
$284.00
Statistics of Extremes
by E. J. Gumbel
$16.47
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