Expected Returns and Volatility in 135 Countries
- 30 April 1996
- journal article
- Published by With Intelligence LLC in The Journal of Portfolio Management
- Vol. 22 (3) , 46-58
- https://doi.org/10.3905/jpm.1996.409554
Abstract
No abstract availableThis publication has 1 reference indexed in Scilit:
- Time-Varying World Market IntegrationThe Journal of Finance, 1995