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Backward stochastic Volterra integral equations on Markov chains
British Library Online Contents | 2018| -
Optimal surrender strategies for equity-indexed annuity investors with partial information
Online Contents | 2012| -
Website operation test method and device, equipment and medium
Free accessEuropean Patent Office | 2023| -
Zabbix-based information monitoring method and device, equipment and storage medium
Free accessEuropean Patent Office | 2023| -
Open-loop equilibrium strategy for mean-variance asset-liability management with margin requirements
Taylor & Francis Verlag | 2022| -
Optimal Reinsurance and Dividend Strategies Under the Markov-Modulated Insurance Risk Model
Online Contents | 2010| -
Mean–Variance Asset–Liability Management Problem Under Non-Markovian Regime-Switching Models
Online Contents | 2018| -
Mean–Variance Asset–Liability Management Problem Under Non-Markovian Regime-Switching Models
Springer Verlag | 2020| -
Mean–variance portfolio selection under a non-Markovian regime-switching model
British Library Online Contents | 2019| -
Mean–Variance Asset–Liability Management Problem Under Non-Markovian Regime-Switching Models
Online Contents | 2018| -
Time-consistent mean–variance asset–liability management with random coefficients
British Library Online Contents | 2017| -
Optimal investment-consumption-insurance with random parameters
British Library Online Contents | 2016|
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