1. Aitchison J., Brown J.A.C. (1957). The Log Normal Distribution. Cambridge, Cambridge University Press
2. Arnold B.C.(1983). Pareto Distributions. Maryland, International Co-operative Publishing House
3. Bandourian R., McDonald J.B., Jurley R.S.(2002). A comparison of parametric models of income distribution across countries and over time. Estadistica 55: 135–152
4. Bell D.E.(1988). One switch utility functions and a measure of risk. Manage Sci 34: 1416–1424
5. Bierwag G.O.(1974). The rationale of mean standard deviation analysis: comment. Am Econ Rev 64: 431–433