Author: VanderLinden David Nikolov Kristijan
Publisher: Routledge Ltd
ISSN: 1466-4305
Source: Applied Financial Economics, Vol.15, Iss.17, 2005-11, pp. : 1203-1211
Disclaimer: Any content in publications that violate the sovereignty, the constitution or regulations of the PRC is not accepted or approved by CNPIEC.
Abstract
Related content
Expected returns and economic risk in Canadian financial markets
Applied Financial Economics, Vol. 13, Iss. 3, 2003-01 ,pp. :
The effect of country risk ratings on market returns
By Schnusenberg Oliver Madura Jeff Gleason Kimberly
Applied Financial Economics, Vol. 17, Iss. 16, 2007-11 ,pp. :
Smaller portfolio returns and the risk-return trade-off for the whole market
Applied Financial Economics, Vol. 24, Iss. 13, 2014-07 ,pp. :
High-yield versus investment-grade bonds: less risk and greater returns?
Applied Financial Economics, Vol. 24, Iss. 20, 2014-10 ,pp. :