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Econometric integration of real estate's space and capital markets
Viezer, Timothy W., (1999)
Information from financial markets and VAR measures of monetary policy
Bagliano, Fabio C., (1999)
[Rezension] Campbell, John Y., ..., The econometrics of financial markets : Princeton Univ. Press, 1997
Andersen, Torben, (1998)
Homogeneous risk measures and the construction of composite assets
Breen, William, (1968)
Low price-earnings ratios and industry relatives
Breen, William, (1972)
Specific versus general models of portfolio selection