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Stochastic Conditional Distribution Models with Applications in Finance
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Nonparametric Mixed-Effects Density Regression
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Information Propagation on Social Networks
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Systemic Risk Illustrated
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Middle censoring in the presence of covariates
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The Intersection of Sample Size, Number of Indicators, and Class Enumeration in LCA : A Monte Carlo Study
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Stochastic Filtering Problem with Financial Application to High Frequency Trading
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Investigating optimal investment problems for portfolios of cointegrated assets, with transaction costs
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Decision-Making under Spatial Uncertainty in Downscaled Population Estimates : An Assessment of HIV Prevalence in Tanzania
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Sequential Monte Carlo methods : applications to disease surveillance and fMRI data
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