5
Publications
90
Citations
5
H-Index
2011
Active since
Affiliations
Jaroslav Šupina is an author at University of Pavol Jozef Šafárik specializing in engineering, management, and financial risk.
Top concepts
EngineeringFinanceBusinessManagementStatisticsMeasurementProbabilityAsset PricingFinancial RiskFinancial Modeling
Publications per year
2011–2018
5
5
Financial and risk modelling with semicontinuous covariances
Milan Stehlík, Ch. Helperstorfer, Philipp Hermann et al. · Information Sciences · 2017 · 29 citations
Ideal quasi-normal convergence and related notions
Lev Bukovský, Pratulananda Das, Jaroslav Šupina · Colloquium Mathematicum · 2016 · 21 citations
Jaroslav Šupina · Journal of Mathematical Analysis and Applications · 2015 · 16 citations
Beyond the scope of super level measures
Lenka Halčinová, Ondrej Hutník, Jozef Kiseľák et al. · Fuzzy Sets and Systems · 2018 · 10 citations
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