Pages that link to "Item:Q4687541"
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The following pages link to Predicting the Distribution of Stock Returns: Model Formulation, Statistical Evaluation, VaR Analysis and Economic Significance (Q4687541):
Displaying 3 items.
- Analysis of the conditional stock-return distribution under incomplete specification. (Q1427543) (← links)
- Time series forecasting for stock market prediction through data discretization by fuzzistics and rule generation by rough set theory (Q1997570) (← links)
- Predictable Return Distributions (Q4687537) (← links)