The stability of risk factors in the UK stock market
Year of publication: |
2001
|
---|---|
Authors: | Bahri, S.Saiful ; Leger, Lawrence A. |
Published in: |
Applied financial economics. - London : Routledge, ISSN 0960-3107, ZDB-ID 10779735. - Vol. 11.2001, 4, p. 411-422
|
Saved in:
Saved in favorites
Similar items by person
-
Jiang, Fei, (2010)
-
A Mean-Variance Diagnosis of the Financial Crisis: International Diversification and Safe Havens
Eptas, Alexander, (2010)
-
Generating Innovations in Economic Variables
Leone, Vitor, (2007)
- More ...