A distribution-free approach to estimating best response values with application to mutual fund performance modeling (Q1780762)

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A distribution-free approach to estimating best response values with application to mutual fund performance modeling
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    A distribution-free approach to estimating best response values with application to mutual fund performance modeling (English)
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    13 June 2005
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    Finance
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    Financial DSS
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    Securities
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    Statistics
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    Parameter estimation
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    Frontier estimation
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