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A robust statistical approach to select adequate error distributions for financial returns - MaRDI portal

A robust statistical approach to select adequate error distributions for financial returns (Q5138523)

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scientific article; zbMATH DE number 7282031
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A robust statistical approach to select adequate error distributions for financial returns
scientific article; zbMATH DE number 7282031

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    A robust statistical approach to select adequate error distributions for financial returns (English)
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    4 December 2020
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    error distribution
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    nonparametric volatility
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    model misspecification
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    goodness of fit
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    selection test
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    skewed-\(t\)
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    hyperbolic
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