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person:"Paolella, Marc S."
subject:"Japan"
~isPartOf:"The European journal of finance"
~subject:"Finanzmarkt"
~subject:"Statistische Verteilung"
~subject:"Volatility"
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Paolella, Marc S.
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Multivariate asset return prediction with mixture models
Paolella, Marc S.
- In:
The European journal of finance
21
(
2015
)
13/15
,
pp. 1214-1252
Persistent link: https://www.econbiz.de/10011419842
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