GRZYBOWSKA, U.; KARWAŃSKI, M. APPLICATION OF MIXED MODELS AND FAMILIES OF CLASSIFIERS TO ESTIMATION OF FINANCIAL RISK PARAMETERS. Metody Ilościowe w Badaniach Ekonomicznych, [S. l.], v. 16, n. 1, p. 108–115, 2015. Disponível em: https://qme.sggw.edu.pl/article/view/3756. Acesso em: 21 lis. 2024.