Makaleler
10
Tümü (10)
SCI-E, SSCI, AHCI (7)
SCI-E, SSCI, AHCI, ESCI (9)
ESCI (1)
Scopus (8)
TRDizin (2)
1. A Machine Learning Integrated Portfolio Rebalance Framework with Risk Aversion Adjustment
BDDK Bankacılık ve Finansal Piyasalar Dergisi
, cilt.19, sa.2, ss.173-197, 2025 (TRDizin)
3. OPTIMAL PORTFOLIO ALLOCATION UNDER FRACTAL THEORY
FRACTALS-COMPLEX GEOMETRY PATTERNS AND SCALING IN NATURE AND SOCIETY
, cilt.33, sa.09, 2025 (SCI-Expanded, Scopus)
8. Estimation of earthquake insurance Premium rates Turkish catastrophe insurance pool case
AÜÜF Communications: Series A1: Mathematics and Statistics
, cilt.65, ss.161-173, 2016 (Hakemli Dergi)
9. Optimal control of stochastic hybrid system with jumps: A numerical approximation
JOURNAL OF COMPUTATIONAL AND APPLIED MATHEMATICS
, cilt.259, ss.443-451, 2014 (SCI-Expanded, Scopus)
10. PRICING AND COMPLETION IN A LEVY MARKET MODEL WITH TEUGEL MARTINGALES
HACETTEPE JOURNAL OF MATHEMATICS AND STATISTICS
, cilt.41, sa.5, ss.767-783, 2012 (SCI-Expanded, Scopus, TRDizin)
