2004/07/27 by J. R. M. Hosking, J.R.M. Hosking · 2 citations
Economics, Econometrics and Finance · Mathematics · #Advanced Statistical Methods and Models #Financial Risk and Volatility Modeling #Statistical Distribution Estimation and Applications
paper · doi:10.1016/j.jspi.2004.06.004
openalex publication_date 2004/07/27 · crossref created 2004/07/27 · crossref issued 2006/01/01 · crossref published 2006/01/01 · crossref published-print 2006/01/01 · crossref deposited 2024/12/18 · openalex created_date 2025/10/10 · crossref indexed 2026/07/21 · openalex updated_date 2026/07/21