A method of fitting multivariate nonnormal distributions to financial data

Bibliographic Information

A method of fitting multivariate nonnormal distributions to financial data

Yuichi Nagahara

(Discussion paper series / Institute of Social Sciences, Meiji University, F-2006-5)

Institute of Social Sciences, Meiji University, 2006

2nd version

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Note

"22th, Sept., 2006."

Includes bibliographical references (leaf 12)

Related Books: 1-1 of 1

  • Discussion paper series

    Institute of Social Sciences, Meiji University

    Institute of Social Sciences, Meiji University 1999-

Details

  • NCID
    BA78369942
  • Country Code
    ja
  • Title Language Code
    eng
  • Text Language Code
    eng
  • Place of Publication
    Tokyo
  • Pages/Volumes
    12 leaves
  • Size
    30 cm
  • Parent Bibliography ID
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