Empirical distribution of daily stock returns of selected developing and emerging markets with application to financial risk management (Q2673295): Difference between revisions
From MaRDI portal
Added link to MaRDI item. |
Removed claim: author (P16): Item:Q314612 |
||
Property / author | |||
Property / author: Juraj Pekár / rank | |||
Revision as of 10:44, 13 February 2024
scientific article
Language | Label | Description | Also known as |
---|---|---|---|
English | Empirical distribution of daily stock returns of selected developing and emerging markets with application to financial risk management |
scientific article |
Statements
Empirical distribution of daily stock returns of selected developing and emerging markets with application to financial risk management (English)
0 references
9 June 2022
0 references
daily returns
0 references
generalized lambda distribution
0 references
CVaR
0 references
skewed generalized t-distribution
0 references
fitting distribution
0 references