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Stable Paretian Modeling in Finance: Some Empirical and Theoretical Aspects


Paolella, Marc; Mittnik, Stefan; Rachev, S (1998). Stable Paretian Modeling in Finance: Some Empirical and Theoretical Aspects. In: Adler, R; Feldmann, R; Taqqu, M. A Practical Guide to Heavy Tailed Data. Bosotn: Birkhäuser, 79-93.

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Item Type:Book Section, refereed, original work
Communities & Collections:03 Faculty of Economics > Department of Banking and Finance
Dewey Decimal Classification:330 Economics
Language:English
Date:1998
Deposited On:24 Oct 2014 11:58
Last Modified:08 Dec 2017 07:45
Publisher:Birkhäuser
Other Identification Number:merlin-id:4520

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