MODELING FINANCIAL SERIES DISTRIBUTIONS: A VERSATILE DATA FITTING APPROACH
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Publication:4653010
DOI10.1142/S0219024904002475zbMath1088.91053MaRDI QIDQ4653010
Pandu R. Tadikamalla, Jen S. Shang
Publication date: 28 February 2005
Published in: International Journal of Theoretical and Applied Finance (Search for Journal in Brave)
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