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GND: 171051416


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multivariate verteilungmultivariate distributionmethods financecredit riskoption pricing theorycopula methodsfourier transformtransform methodspeso problemyield curveinterest ratekopula mathematik mathematical financemathematisches modellgrowth optimalcountry risk
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Years of publications: 1991 - 2022

The information on the author is retrieved from: Entity Facts (by DNB = German National Library data service), DBPedia and Wikidata

Umberto Cherubini


Alternative spellings:
U Cherubini

Biblio: University of Bologna, Department of Economics, Bologna, Italy ; New York University, Tandon School of Engineering, Finance and Risk Engineering Department (Research Collaborator), Brooklyn, NY, USA ; Tätig am Economic Research and Planning Dep., Banca Commerciale Italiana, Milano; CARIPLO, Risk Management, Milano; Tätig am Dep. of Mathematical Economics, Univ. Bologna, IT

Affiliations

  • Università di Bologna
  • New York University
  • IntesaBci (Mailand)
  • External links

  • Gemeinsame Normdatei (GND) im Katalog der Deutschen Nationalbibliothek
  • Open Researcher and Contributor ID (ORCID)
  • NACO Authority File
  • Virtual International Authority File (VIAF)
  • Wikidata
  • International Standard Name Identifier (ISNI)

  • ORCID logo ORCID

    Publishing years

    1
      2022
    1
      2021
    1
      2020
    2
      2016
    3
      2013
    2
      2012
    2
      2011
    3
      2010
    2
      2009
    1
      2008
    1
      2005
    2
      2004
    1
      2003
    1
      2002
    4
      2001
    1
      1998
    1
      1997
    2
      1994
    3
      1993
    2
      1992
    2
      1991

    Series

    1. Wiley finance series (4)
    2. SpringerBriefs in statistics (1)
    3. The wiley finance series (1)
    4. Working paper (1)
    5. The Wiley Finance Ser (1)