Marat Ibragimov

Marat Ibragimov

1 book

About the Author

Marat Ibragimov is a distinguished scholar whose research centers on the statistical properties of heavy-tailed distributions and their implications for economic and financial modeling. With a rigorous analytical approach, he explores robustness issues that arise when traditional assumptions fail in real-world data. His work bridges advanced statistical theory with practical applications, offering valuable insights for academics and practitioners alike. Ibragimov’s contributions have significantly advanced understanding of risk assessment and model reliability in volatile markets.

Writing style
rigorous analytical insightful

Books by Marat Ibragimov