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The likelihood of various stock market return distributions. I: Principles of inference - MaRDI portal

The likelihood of various stock market return distributions. I: Principles of inference

From MaRDI portal
Publication:1360231

DOI10.1007/BF00056153zbMath0876.90017MaRDI QIDQ1360231

Nilufer Usmen, Harry M. Markowitz

Publication date: 4 December 1997

Published in: Journal of Risk and Uncertainty (Search for Journal in Brave)




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