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dc.creatorGzyl, H. (Henryk)
dc.creatorMayoral, S. (Silvia)
dc.date.accessioned2010-05-11T07:00:19Z-
dc.date.available2010-05-11T07:00:19Z-
dc.date.issued2008-
dc.identifier.citationGzyl, Henryk; Mayoral, Silvia. On a relationship between distorted and spectral risk measures. Revista de Economía Financiera, 2008, vol. 43 (3), pp. 437-443.es_ES
dc.identifier.issn1697-9761-
dc.identifier.urihttps://hdl.handle.net/10171/7089-
dc.language.isoenges_ES
dc.publisherWolters Kluweres_ES
dc.rightsinfo:eu-repo/semantics/openAccesses_ES
dc.subjectMaterias Investigacion::Economía y Empresaes_ES
dc.titleOn a relationship between distorted and spectral risk measures.es_ES
dc.typeinfo:eu-repo/semantics/articlees_ES

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