//-->
A Generalized Normal Mean Variance Mixture for Return Processes in Finance
Luciano, Elisa, (2014)
Multivariate Downside Risk : Normal Versus Variance Gamma
Wallmeier, Martin, (2010)
Second order of stochastic dominance efficiency vs mean variance efficiency
Malavasi, Matteo, (2021)
Cost-benefit analysis of presumptive taxation
Yitzhaki, Shlomo, (2007)
Cost benefit analysis of presumptive taxation
Calculating jackknife variance estimators for parameters of the Gini method
Yitzhaki, Shlomo, (1991)