Additionally to talks of this week (see below) this time I refer to
regular research seminars in Vienna:
- Research Seminar - Statistics and Mathematics,
Institute for Statistics and Mathematics (WU Wien)
http://www.wu.ac.at/statmath/resseminar"
- Finance Research Seminar,
Vienna Graduate School of Finance (VGSF)
http://www.vgsf.ac.at/activities/seminars.htm
- Finance Brown Bag Seminar,
Institute for Finance, Banking and Insurance (WU Wien)
jointly with the Vienna Graduate School of Finance (VGSF)
http://www.wu.ac.at/finance/research/bbs
- Brown Bag Seminar,
Department of Finance (University of Vienna)
http://finance.univie.ac.at/en/research/brown-bag-seminar/
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Talks at University of Vienna
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Mo, 8.10.2012, 17:00, seminar room D 1.01
1090 Wien, Nordbergstraße 15, University of Vienna, UZA 4, 1st floor
Eberhard Mayerhofer (Dublin City University)
http://www.eberhard-mayerhofer.com/
"Wrong Way Risk and Credit Value Adjustments (CVA)"
(Seminar on Probability Theory)
For further details see
http://www.mat.univie.ac.at/~finance_hp/seminarWS12_prob.html
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Th, 11.10.2012, 17:00, seminar room D 1.01
1090 Wien, Nordbergstraße 15, University of Vienna, UZA 4, 1st floor
Martin Huesmann (University of Bonn)
"Optimal transport between random measures"
(Seminar on Mathematical Finance)
For further details see
http://www.mat.univie.ac.at/~finance_hp/seminarWS12.html
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