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Publications by Stanislaus Maier-Paape

Lead–Lag Relationship Using a Stop-And-Reverse-MinMax Process

Risks
ManagementFinanceEconomicsStrategyAccountingEconometrics
2016English

A General Framework for Portfolio Theory. Part II: Drawdown Risk Measures

Risks
ManagementFinanceEconomicsStrategyAccountingEconometrics
2018English

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