A new statistic to the theory of correlation stability testing in financial market /

Thesis (Ph.D (Matematik)) - Universiti Teknologi Malaysia, 2013

Bibliographic Details
Main Authors: Shamshuritawati Sharif, 1977-, Maman Abdurachman Djauhari, supervisor, Zuhaimy Ismail, supervisor, Fakulti Sains
Format:
Language:eng
Published: 2013
Subjects:
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author Shamshuritawati Sharif, 1977-
Maman Abdurachman Djauhari, supervisor
Zuhaimy Ismail, supervisor
Fakulti Sains
author_facet Shamshuritawati Sharif, 1977-
Maman Abdurachman Djauhari, supervisor
Zuhaimy Ismail, supervisor
Fakulti Sains
author_sort Shamshuritawati Sharif, 1977-
collection OCEAN
description Thesis (Ph.D (Matematik)) - Universiti Teknologi Malaysia, 2013
first_indexed 2024-03-05T12:53:48Z
format
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institution Universiti Teknologi Malaysia - OCEAN
language eng
last_indexed 2024-03-05T12:53:48Z
publishDate 2013
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spelling KOHA-OAI-TEST:4879182020-12-19T17:18:01ZA new statistic to the theory of correlation stability testing in financial market / Shamshuritawati Sharif, 1977- Maman Abdurachman Djauhari, supervisor Zuhaimy Ismail, supervisor Fakulti Sains 2013engThesis (Ph.D (Matematik)) - Universiti Teknologi Malaysia, 2013Includes bibliographical referencesFSLFinanceRisk management
spellingShingle Finance
Risk management
Shamshuritawati Sharif, 1977-
Maman Abdurachman Djauhari, supervisor
Zuhaimy Ismail, supervisor
Fakulti Sains
A new statistic to the theory of correlation stability testing in financial market /
title A new statistic to the theory of correlation stability testing in financial market /
title_full A new statistic to the theory of correlation stability testing in financial market /
title_fullStr A new statistic to the theory of correlation stability testing in financial market /
title_full_unstemmed A new statistic to the theory of correlation stability testing in financial market /
title_short A new statistic to the theory of correlation stability testing in financial market /
title_sort new statistic to the theory of correlation stability testing in financial market
topic Finance
Risk management
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