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Our data says that the document:
Alberto, Martin-Utrera ; Francisco J, Nogales ; Raman, Uppal ; Victor, Demiguel ; Raman, Uppal. (2017) A Portfolio Perspective on the Multitude of Firm Characteristics.
In: CEPR Discussion Papers. RePEc:cpr:ceprdp:12417.
Full description at Econpapers
cites:
Geary, Roy C., 1935, The ratio of the mean deviation to the standard deviation as a test of normality, Biometrika 27, 310–332.
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