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    Tail dependence estimate in financial market risk management:clayton-gumbel copula approach
    Tail dependence estimate in financial market risk management:clayton-gumbel copula approach
    by Shamiri, Hamzah .N.A, Pirmoradian .A
    Published 2011
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  2. 2
    Comparing the accuracy of density forecasts from competing GARCH models
    Comparing the accuracy of density forecasts from competing GARCH models
    by Abu Hassan Shaari Mohd Nor, Ahmad Shamiri, Zaidi Isa
    Published 2009
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