Title of article :
092051 (E13, M10) The likelihood of various stock market return distributions, part 1: Principles of Inference : Markovitz H.M., Usmen N., Journal of Risk and Uncertainty, Number 3, 1996, pp. 207–219
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 :
1541640
Link To Document :
https://search.isc.ac/dl/search/defaultta.aspx?DTC=10&DC=1541640