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Measuring Financial Asset Return and Volatility Spillovers, with Application to Global Equity Markets - MaRDI portal

Measuring Financial Asset Return and Volatility Spillovers, with Application to Global Equity Markets (Q76243)

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Measuring Financial Asset Return and Volatility Spillovers, with Application to Global Equity Markets
scientific article

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    119
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    534
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    158-171
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    9 December 2008
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