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dc.contributor.authorKofman, P
dc.date.available2014-05-21T20:56:50Z
dc.date.issued2003-06-01
dc.identifier.citationKofman, P. (2003). Using Multiple Imputation in the Analysis of Incomplete Observations in Finance. Journal of Financial Econometrics, 1 (2), pp.216-249. https://doi.org/10.1093/jjfinec/nbg013.
dc.identifier.issn1479-8409
dc.identifier.urihttp://hdl.handle.net/11343/27926
dc.descriptionC1 - Refereed Journal Article
dc.languageen
dc.publisherOxford University Press (OUP)
dc.subjectBanking
dc.subjectFinance and Investment
dc.titleUsing Multiple Imputation in the Analysis of Incomplete Observations in Finance
dc.typeJournal Article
dc.identifier.doi10.1093/jjfinec/nbg013
melbourne.peerreviewPeer Reviewed
melbourne.affiliationThe University of Melbourne
melbourne.affiliation.departmentFinance
melbourne.source.titleJournal of Financial Econometrics
melbourne.source.volume1
melbourne.source.issue2
melbourne.source.pages216-249
dc.research.codefor1502
melbourne.publicationid18800
melbourne.elementsid257371
melbourne.contributor.authorKofman, Paul
dc.identifier.eissn1479-8417
melbourne.accessrightsThis item is currently not available from this repository


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