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Finance
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Demonstrations 81  100 of 338
Best Response Learning in a Cournot Framework
Property Coinsurance
Expanded Fermi Solution for Risk Assessment
Evidentiary Uncertainty
Earned Value Management
Fractional OrnsteinUhlenbeck Process
Capitalization Rate Probability
Net Lease Economics
Stock Price Simulation Using Stable Random Variables
TwoPeriod Consumer Model with Different Interest Rates
TARP Toxic (Illiquid) Assets Pricing Model
ProcessBased Cost Model for SandCasting Bronze Bells
Holistic Theorem
The Refinance Decision
Leverage Ratios
Estimating the Time between Mishaps from Quality Control Data
True Cost of Variable Rate Mortgage Funds
Generalized Extreme Value Distributions: Application in Financial Risk Management
The Facilities Location Problem
Term Structure of Interest Rates
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