Some generalized functions for the size distribution of income JB McDonald Modeling income distributions and Lorenz curves, 37-55, 2008 | 1283 | 2008 |
A generalization of the beta distribution with applications JB McDonald, YJ Xu Journal of Econometrics 66 (1-2), 133-152, 1995 | 747 | 1995 |
Partially adaptive estimation of regression models via the generalized t distribution JB McDonald, WK Newey Econometric theory 4 (3), 428-457, 1988 | 371 | 1988 |
A general distribution for describing security price returns RM Bookstaber, JB McDonald Journal of business, 401-424, 1987 | 255 | 1987 |
Time series prediction with Genetic‐Algorithm designed neural networks: An empirical comparison with modern statistical models JV Hansen, JB McDonald, RD Nelson Computational Intelligence 15 (3), 171-184, 1999 | 245 | 1999 |
Identifying financial distress in the insurance industry: A synthesis of methodological and empirical issues R BarNiv, JB McDonald Journal of Risk and Insurance, 543-573, 1992 | 204 | 1992 |
Functional forms, estimation techniques and the distribution of income JB McDonald, MR Ransom Econometrica: Journal of the Econometric Society, 1513-1525, 1979 | 202 | 1979 |
A generalized qualitative-response model and the analysis of management fraud JV Hansen, JB McDonald, WF Messier Jr, TB Bell Management science 42 (7), 1022-1032, 1996 | 195 | 1996 |
A comparison of parametric models of income distribution across countries and over time R Bandourian, J McDonald, RS Turley Luxembourg income study working paper, 2002 | 193 | 2002 |
Factors affecting the performance of individual chain store units-An empirical-analysis RT Hise, JP Kelly, M Gable, JB McDonald Journal of Retailing 59 (2), 22-39, 1983 | 139 | 1983 |
Applications of the GB2 family of distributions in modeling insurance loss processes JD Cummins, G Dionne, JB McDonald, BM Pritchett Insurance: Mathematics and Economics 9 (4), 257-272, 1990 | 136 | 1990 |
Robust and partially adaptive estimation of regression models RJ Butler, JB McDonald, RD Nelson, SB White The review of economics and statistics, 321-327, 1990 | 132 | 1990 |
14 Probability distributions for financial models JB McDonald Handbook of Statistics 14, 427-461, 1996 | 128 | 1996 |
A flexible parametric GARCH model with an application to exchange rates KL Wang, C Fawson, CB Barrett, JB McDonald Journal of Applied Econometrics 16 (4), 521-536, 2001 | 126 | 2001 |
Something new, something old: parametric models for the size of distribution of income RF Bordley, JB McDonald, A Mantrala Journal of Income Distribution 6 (1), 5-5, 1997 | 122 | 1997 |
Some generalized mixture distributions with an application to unemployment duration JB McDonald, RJ Butler The Review of Economics and Statistics, 232-240, 1987 | 116 | 1987 |
Artificial intelligence and generalized qualitative‐response models: An empirical test on two audit decision‐making domains JV Hansen, JB McDonald, JD Stice Decision Sciences 23 (3), 708-723, 1992 | 110 | 1992 |
Model selection: some generalized distributions JB McDonald Communications in Statistics-Theory and Methods 16 (4), 1049-1074, 1987 | 94 | 1987 |
The generalized beta distribution as a model for the distribution of income: estimation of related measures of inequality JB McDonald, M Ransom Modeling income distributions and Lorenz curves, 147-166, 2008 | 93 | 2008 |
Machine learning methods for detecting patterns of management fraud DG Whiting, JV Hansen, JB McDonald, C Albrecht, WS Albrecht Computational Intelligence 28 (4), 505-527, 2012 | 84 | 2012 |