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Financial ratio distribution irregularities: Implications for ratio classification

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Publication:1129944
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DOI10.1016/0377-2217(93)E0134-JzbMath0929.91048OpenAlexW2094234227MaRDI QIDQ1129944

Jukka Perttunen, Paavo Yli-Olli, Teppo Martikainen, Angappa Gunasekaran

Publication date: 16 August 1998

Published in: European Journal of Operational Research (Search for Journal in Brave)

Full work available at URL: https://doi.org/10.1016/0377-2217(93)e0134-j


zbMATH Keywords

classificationfinancial ratios


Mathematics Subject Classification ID

Economic time series analysis (91B84) Production theory, theory of the firm (91B38)


Related Items (1)

A fifth bibliography of fractional programming*



Cites Work

  • Unnamed Item
  • An Extension of Shapiro and Wilk's W Test for Normality to Large Samples
  • An analysis of variance test for normality (complete samples)


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