26 results for RTFO.

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How the Default Probability is Defined by the CreditRisk+Model?
International Journal of Global Energy Markets and Finance. 2018, 1(1), 21-25. DOI: 10.12691/ijgefm-1-1-4
Pub. Date: April 24, 2018Views: 11056Downloads: 9758
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The Credit Portfolio Management by Structural Models: A Theoretical Analysis
International Journal of Global Energy Markets and Finance. 2018, 1(1), 11-20. DOI: 10.12691/ijgefm-1-1-3
Pub. Date: April 24, 2018Views: 16537Downloads: 15435
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The Credit Portfolio Management by the Econometric Models: A Theoretical Analysis
International Journal of Global Energy Markets and Finance. 2018, 1(1), 1-3. DOI: 10.12691/ijgefm-1-1-1
Pub. Date: April 17, 2018Views: 9484Downloads: 8540
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Application of Generalized Binomial Distribution Model for Option pricing
American Journal of Applied Mathematics and Statistics. 2017, 5(2), 62-71. DOI: 10.12691/ajams-5-2-4
Pub. Date: July 20, 2017Views: 15313Downloads: 13320
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Evaluating Nursing Students’ Perception toward Use of E-Portfolio as an Innovative Learning Strategy for Student Assessment
American Journal of Nursing Research. 2017, 5(3), 86-95. DOI: 10.12691/ajnr-5-3-3
Pub. Date: June 10, 2017Views: 15540Downloads: 12891
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The e-portfolio in a Kindergarten Classroom: Adopting Alternative Assessment Methods through Action Research
American Journal of Educational Research. 2017, 5(2), 114-123. DOI: 10.12691/education-5-2-2
Pub. Date: February 05, 2017Views: 15219Downloads: 12141
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Effect of Functionalization and Mixing Process on the Rheological Properties of Asphalt Modified with Carbon Nanotubes
American Journal of Civil Engineering and Architecture. 2016, 4(3), 90-97. DOI: 10.12691/ajcea-4-3-4
Pub. Date: May 14, 2016Views: 41217Downloads: 39129
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Lesson Study in Improving the Role of E-Portfolio on the Metacognitive Skill and Concept Comprehension: A Study on Cell Biology Subject in IKIP PGRI Madiun, Indonesia
American Journal of Educational Research. 2014, 2(10), 919-924. DOI: 10.12691/education-2-10-11
Pub. Date: October 26, 2014Views: 24245Downloads: 19686
Open AccessEditorial
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Portfolio Selection via Shrinkage by Cross Validation
Journal of Finance and Accounting. 2014, 2(4), 74-81. DOI: 10.12691/jfa-2-4-1
Pub. Date: July 22, 2014Views: 22513Downloads: 17013
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Univariate and Multivariate Volatility Models for Portfolio Value at Risk
Journal of Finance and Economics. 2024, 12(1), 1-14. DOI: 10.12691/jfe-12-1-1
Pub. Date: February 02, 2024Views: 1088Downloads: 3897
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