• Title of article

    092052 The likelihood of various stock market return distributions, part 2: Empirical results : Markovitz H.M. and Usmen N., Journal of Risk and Uncertainty, Number 3, 1996, pp. 221–247

  • Issue Information
    روزنامه با شماره پیاپی سال 1997
  • Pages
    1
  • From page
    152
  • To page
    152
  • Journal title
    Insurance Mathematics and Economics
  • Serial Year
    1997
  • Journal title
    Insurance Mathematics and Economics
  • Record number

    1541643