The behaviour of the distributions of stock returns : an analysis of the European market using the Pearson system of continuous probability distributions
Year of publication: |
2012
|
---|---|
Authors: | Pizzutilo, F. |
Published in: |
Applied financial economics. - London : Routledge, ISSN 0960-3107, ZDB-ID 1077973-5. - Vol. 22.2012, 19/21, p. 1743-1752
|
Subject: | Statistische Verteilung | Statistical distribution | Wahrscheinlichkeitsrechnung | Probability theory | Kapitaleinkommen | Capital income | EU-Staaten | EU countries |
-
Pizzutilo, Fabio, (2012)
-
Financial decision-making under distribution uncertainty
Kacperczyk, Marcin, (2004)
-
Comparison of conditional distributions in portfolios of dependent risks
Sordo, Miguel A., (2015)
- More ...
-
Pizzutilo, F., (2012)
-
Pizzutilo, F., (2012)
- More ...