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o”Å”N

‘–¼

o”ÅŽÐ

1999

Asset Pricing. ( Expanded version of Kariyafs Book gFoundaion of Financial Engineering g in Japanese) To appear. (Kariya, T. and Liu,R. )

 

1993

Quantitative Methods for Portfolio Analysis

Kluwer Academic Publishers, Boston.

1988

The Robustness of Statistical Tests. (Kariya, T. and Sinha, B.K.) 

Academic Press, New York.

1985

Testing in the Multivariate General Linear Model

Kinokuniya, New York.

 

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