Political risk in Taiwan: valuing the doubly stochastic China factor

Radu Tunaru , Ephraim A. Clark
Greenwood Press

2004
APPROXIMATING A RIEMANN INTEGRAL USING THE CENTRAL LIMIT THEOREM

Radu Tunaru
Mathematica japonicae 49 ( 2) 191 -193

2
1999
2007
Economic Growth and Indirect Financial Taxes, Empirical Evidence from Greece, Spain and Portugal

Athena K. Kaliva , Radu Tunaru
Frontiers in Finance and Economics 4 ( 2) 47 -74

2007
Modeling Volatility for the Chinese Equity Markets

Radu Tunaru , Tony Wu , Frank J. Fabozzi
Annals of Economics and Finance 5 ( 1) 79 -92

25
2004
Property Prices and Real Estate Financing in a Turbulent World

Morten Balling , Christian Sinding Bentzen , Jesper Berg , Alan Boyce
Research Papers in Economics

2013
Entropy Concepts Applied to Option Pricing

Radu Tunaru
Annals of the University of Craiova - Mathematics and Computer Science Series 43 ( 1) 106 -117

2016
Estimation functions and uniformly most powerful tests for inverse Gaussian distribution

Ion Vladimirescu , Radu Tunaru
Commentationes Mathematicae Universitatis Carolinae 44 ( 1) 153 -164

2
2003
Supporting Files NNEG project

Enoch Quaye , Radu Tunaru

2019
Asymmetric Network Connectedness of Fears

Jozef Barunik , Radu Tunaru , Mattia Bevilacqua
arXiv: General Finance

18
2018
The Evolution of International Political Risk 1956-2001

Radu Tunaru , Ephraim Clark
Money Macro and Finance (MMF) Research Group Conference 2005

1
2005
Quantifying the uncertainty in VaR and expected shortfall estimates

Radu Tunaru , Silvia Stanescu
Chapters 357 -372

2013
The Evolution of International Geo-Political Risk 1956–2001

Ephraim Clark , Radu Tunaru
Financial Crises, Sovereign Risk and the Role of Institutions 93 -114

4
2013
An extension of invertibility of Hammerstein-type operators

Radu Tunaru
Czechoslovak Mathematical Journal 49 ( 2) 341 -346

1999
Quantification of political risk with multiple dependent sources

Ephraim Clark , Radu Tunaru
Journal of Economics and Finance 27 ( 2) 125 -135

18
2003
Coherent risk measures under filtered historical simulation

Kostas Giannopoulos , Radu Tunaru
Journal of Banking and Finance 29 ( 4) 979 -996

71
2005
Commercial Real Estate Risk Management with Derivatives

Frank J. Fabozzi , Silvia Stanescu , Radu Tunaru
The Journal of Portfolio Management 39 ( 5) 111 -119

8
2013