曹志广, 王安兴, 杨军敏. The Test of non-normal Distribution of Stock Returns with Monte Carlo Simulation and The Explanation[J]. Journal of Finance and Economics, 2005, 31(10): 36–43.
/ Journals / Journal of Finance and Economics
Journal of Finance and Economics
LiuYuanchun, Editor-in-Chief
ZhengChunrong, Vice Executive Editor-in-Chief
YaoLan BaoXiaohua HuangJun, Vice Editor-in-Chief
The Test of non-normal Distribution of Stock Returns with Monte Carlo Simulation and The Explanation
Journal of Finance and Economics Vol. 31, Issue 10, pp. 36 - 43 (2005)
Abstract
References
Abstract
Keywords
Cite this article
Export Citations as:
For
ISSUE COVER
RELATED ARTICLES