Publisher: John Wiley & Sons Inc
E-ISSN: 1540-6261|61|3|1433-1463
ISSN: 0022-1082
Source: THE JOURNAL OF FINANCE, Vol.61, Iss.3, 2006-06, pp. : 1433-1463
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
Uncovering the Risk–Return Relation in the Stock Market
THE JOURNAL OF FINANCE, Vol. 22-1082, Iss. 3, 2006-06 ,pp. :
Risk-return-volume relationship in an emerging stock market
Applied Economics Letters, Vol. 9, Iss. 8, 2002-06 ,pp. :
The risk-return relations: evidence from the Korean and Taiwan stock markets
By Tang Gordon Y. N. Shum Wai Cheong
Applied Economics, Vol. 39, Iss. 15, 2007-08 ,pp. :
The risk-return relation and VIX: evidence from the S&P 500
Empirical Economics, Vol. 44, Iss. 3, 2013-06 ,pp. :
Exploring longitudinal risk‐return relationships
STRATEGIC MANAGEMENT JOURNAL, Vol. 36, Iss. 8, 2015-08 ,pp. :