Ö. ÖNALAN, "Financial risk management with normal inverse Gaussian distributions," International Research Journal of Finance and Economics , vol.38, pp.104-115, 2010
ÖNALAN, Ö. 2010. Financial risk management with normal inverse Gaussian distributions. International Research Journal of Finance and Economics , vol.38 , 104-115.
ÖNALAN, Ö., (2010). Financial risk management with normal inverse Gaussian distributions. International Research Journal of Finance and Economics , vol.38, 104-115.
ÖNALAN, ÖMER. "Financial risk management with normal inverse Gaussian distributions," International Research Journal of Finance and Economics , vol.38, 104-115, 2010
ÖNALAN, ÖMER. "Financial risk management with normal inverse Gaussian distributions." International Research Journal of Finance and Economics , vol.38, pp.104-115, 2010
ÖNALAN, Ö. (2010) . "Financial risk management with normal inverse Gaussian distributions." International Research Journal of Finance and Economics , vol.38, pp.104-115.
@article{article, author={ÖMER ÖNALAN}, title={Financial risk management with normal inverse Gaussian distributions}, journal={International Research Journal of Finance and Economics}, year=2010, pages={104-115} }