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Applied Mathematical Finance, Volume 2 Issue 3 1995

ISSN: 1466-4313 (electronic) 1350-486X (paper)
Publication Frequency: 6 issues per year
Publisher: Routledge
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Papers
A multiplicative model for volume and volatility
Rob Bauer; Fred Nieuwland
Pages 135 – 154
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Statistical modelling of asymmetric risk in asset returns
J. L. Knight;  S. E. Satchell; K. C. Tran
Pages 155 – 172
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Two extensions to barrier option valuation
P. Carr
Pages 173 – 209
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