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Bivariate sub-Gaussian model for stock index returns - MaRDI portal

Bivariate sub-Gaussian model for stock index returns (Q2146838)

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Bivariate sub-Gaussian model for stock index returns
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    Bivariate sub-Gaussian model for stock index returns (English)
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    21 June 2022
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    nonparametric methods
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    characteristic function
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    bivariate sub-Gaussian distribution
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    \(\alpha\)-stable process
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