Relationship between stock return and financial factors
Year of publication: |
1991
|
---|---|
Authors: | Laitinen, Erkki K. |
Published in: |
Liiketaloudellinen aikakauskirja. - Helsinki, ISSN 0024-3469, ZDB-ID 410450-X. - Vol. 40.1991, 3, p. 216-231
|
Subject: | Börsenkurs | Share price | Finanzmarkt | Financial market | Finnland | Finland |
-
Earnings-related anomalies in a thin security market : an accounting-based risk estimation approach
Kallunki, Juha-Pekka, (1996)
-
Exchange rate, interest rate and stock market price volatility for value-at-risk analysis
Ahlstedt, Monica, (1997)
-
Anomalies in stock returns on a thin security market
Berglund, Tom, (1986)
- More ...
-
Explaining success of performance management systems
Laitinen, Erkki K., (2019)
-
Profitability ratios in the early stages of a startup
Laitinen, Erkki K., (2017)
-
Muñoz‐Izquierdo, Nora, (2019)
- More ...