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Mean-Risk Models
Publication
Class
Person
Publication
Programmes
publication
Geographic Approaches to Flood Risk Modelling
2008 |
Faculty of Science
publication
Stability of Mean-Risk Models with Log-Normal Distribution of Returns
2011 |
Faculty of Mathematics and Physics
publication
Convergence of approximate solutions in mean-risk models
2010 |
Faculty of Mathematics and Physics
publication
Using a Deep Neural Network in a Relative Risk Model to Estimate Vaccination Protection for COVID-19
2022 |
Faculty of Mathematics and Physics
publication
Polygenic risk modeling for prediction of epithelial ovarian cancer risk
2022 |
First Faculty of Medicine
publication
A comparison of selected value-at-risk models using risk management techniques for determinig model accuracy
2010 |
Faculty of Social Sciences
publication
DEA-risk models with Value at Risk inputs
2015 |
Faculty of Mathematics and Physics
publication
The applicability of Merton's credit risk model in the Czech Republic
2008 |
Faculty of Social Sciences
publication
A BAYESIAN SEMIPARAMETRIC COMPETING RISK MODEL WITH UNOBSERVED HETEROGENEITY
2015 |
Publication without faculty affiliation
publication
From stochastic dominance to DEA-risk models: portfolio efficiency analysis
2012 |
Faculty of Mathematics and Physics
publication
Dynamic Multi-Factor Credit Risk Model with Fat-Tailed Factors
2012 |
Faculty of Social Sciences, Faculty of Mathematics and Physics
publication
The importance of operational risk modeling for economic capital management in banking
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2010 |
Faculty of Social Sciences
publication
A Competing Risk Model for Bond Strength Data Analysis
2020 |
First Faculty of Medicine
publication
On relations between DEA-risk models and stochastic dominance efficiency tests
2014 |
Faculty of Mathematics and Physics
publication
The annual recurrence risk model for tailored surveillance strategy in patients with cervical cancer
2021 |
First Faculty of Medicine, Faculty of Medicine in Pilsen
publication
Econometric risk modelling with application for the support and guarantees of the agricultural and forestry fund.
1994 |
Publication without faculty affiliation
publication
Local Stability and Differentiability of the Mean-Conditional Value at Risk Model Defined on the Mixed-Integer Loss Functions
2010 |
Faculty of Mathematics and Physics
publication
Influence of central and peripheral dentin on micro-tensile bond strength estimated using a competing risk model
2021 |
First Faculty of Medicine
publication
Ultrasound-based risk model for preoperative prediction of lymph-node metastases in women with endometrial cancer: model-development study
2020 |
First Faculty of Medicine, Third Faculty of Medicine
publication
Geografické přístupy k modelování povodňového rizika
2008 |
Faculty of Science
publication
Panel probit with flexible correlated effects: quantifying technology spillovers in the presence of latent heterogeneity
2013 |
Publication without faculty affiliation
publication
Clinical Utility of Risk Models to Refer Patients with Adnexal Masses to Specialized Oncology Care: Multicenter External Validation Using Decision Curve Analysis
2017 |
First Faculty of Medicine
publication
Environemtnal changes as indicator of flood risk
2004 |
Faculty of Science
publication
Environemtnal changes as indicator of flood risk
2004 |
Faculty of Mathematics and Physics, First Faculty of Medicine
publication
Applicability of hydromorphological monitoring for analysis of impact of river network modifications on the course and consequences of floods
2008 |
Faculty of Science
publication
Present approaches to the assessment and modelling of flood risk
2007 |
Publication without faculty affiliation
publication
Modifications of streams as a factor affecting the course of floods
2007 |
Publication without faculty affiliation
publication
Application of GIS for analysis of river network shortening based on historical map sources
2007 |
Publication without faculty affiliation