The impact of the return interval on the estimation of systematic risk in Australia
著者
書誌事項
The impact of the return interval on the estimation of systematic risk in Australia
(Working paper series in economics and finance, 96-8)
Department of Economics and Finance, Faculty of Business, RMIT, [1996]
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注記
"Working Paper 96-8, September 1996"
"Centre in finance"--Cover
Includes bibliographical references
