An investigation of the stability of returns in Western European equity markets
Year of publication: |
1997
|
---|---|
Other Persons: | Sinclair, C. Donald (contributor) |
Published in: |
The European journal of finance. - Abingdon, Oxon : Routledge, Taylor & Francis Group, ISSN 1351-847X, ZDB-ID 1282412-4. - Vol. 3.1997, 1, p. 87-106
|
Subject: | Portfolio-Management | Portfolio selection | Aktienmarkt | Stock market | Kapitaleinkommen | Capital income | Schätzung | Estimation | Europa | Europe | 1989-1994 |
-
Regime dependent dynamics and European stock markets : is asset allocation really possible?
Ahmad, Wasim, (2015)
-
Mollet, Janick Christian, (2014)
-
Value premium and portfolio return regime : evidence from European equities
Tsuji, Chikashi, (2018)
- More ...
-
Gettinby, G. D., (2006)
-
Evidence on the Irish stock market's reaction to dividend announcements
McCluskey, T., (2006)
-
An analysis of trading strategies in eleven European stock markets
Fifield, S. G. M., (2005)
- More ...