Expected stock returns and the correllation risk premium
Expected stock returns and the correllation risk premium is a book. It was written by Adrian Buss and published by Centre for Economic Policy Research in 2018.
Key facts
- author: Adrian Buss
- publication date: 2018
- book publisher: Centre for Economic Policy Research
- book series: Discussion paper / Centre for Economic Policy Research
- book subjects: Financial risk-Mathematical models, Stocks-Rate of return-Mathematical models
Extract data
Download datasets about Expected stock returns and the correllation risk premium:
Dataset of books series that contain Expected stock returns and the correllation risk premium:
Dataset of book subjects that contain Expected stock returns and the correllation risk premium:
"Expected stock returns and the correllation risk premium" is one of the books by Adrian Buss, books by Centre for Economic Policy Research and 2,617,384 books in our database.
This dashboard is based on data from: The British Library.
This content is available under the CC BY 4.0 license.