
Quantitative Perspectives on Behavioral Economics and Finance, in: Illustrating Finance Policy with Mathematica, chapter 0, pages 73-93, Quantitative Perspectives on Behavioral Economics and Finance, in: Illustrating Finance Policy with Mathematica, chapter 0, pages 55-72, Quantitative Perspectives on Behavioral Economics and Finance, in: Illustrating Finance Policy with Mathematica, chapter 0, pages 43-54, Quantitative Perspectives on Behavioral Economics and Finance, in: Illustrating Finance Policy with Mathematica, chapter 0, pages 23-41, " The Mathematical Frontier: Trigonometry, Derivatives, Optima, Differential Equations," Quantitative Perspectives on Behavioral Economics and Finance, in: Illustrating Finance Policy with Mathematica, chapter 0, pages 11-22, " Introduction to Mathematica: Hello World in Text and Graphics," Quantitative Perspectives on Behavioral Economics and Finance, in: Illustrating Finance Policy with Mathematica, chapter 0, pages 1-10, " The Non-graphical Foundation: Coase and The Law’s Irrelevance," The following chapters of this book are listed in IDEAS

" Revisiting the Copula-Based Trading Method Using the Laplace Marginal Distribution Function," Tayyebeh Nadaf & Taher Lotfi & Stanford Shateyi, 2022.International Journal of Finance & Economics, John Wiley & Sons, Ltd., vol. " Efficient portfolio construction by means of CVaR and k‐means++ clustering analysis: Evidence from the NYSE," Fazlollah Soleymani & Mahdi Vasighi, 2022." On the Conditional Value at Risk Based on the Laplace Distribution with Application in GARCH Model," Malik Zaka Ullah & Fouad Othman Mallawi & Mir Asma & Stanford Shateyi, 2022." Pricing foreign exchange options under stochastic volatility and interest rates using an RBF-FD method," Fazlollah Soleymani & Andrey Itkin, 2019." Interactions of Logistic Distribution to Credit Valuation Adjustment: A Study on the Associated Expected Exposure and the Conditional Value at Risk,"

Yanlai Song & Stanford Shateyi & Jianying He & Xueqing Cui, 2022." Classifying a Lending Portfolio of Loans with Dynamic Updates via a Machine Learning Technique,"

