A method of fitting multivariate nonnormal distributions to financial data
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Bibliographic Information
A method of fitting multivariate nonnormal distributions to financial data
(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)