//-->
Realized volatility, jump and beta : evidence from Canadian stock market
Gajurel, Dinesh, (2021)
Determinant of Stock Systematic Risks
Pasaribu, Rowland Bismark, (2017)
An analysis of systematic risk and performance through changing market volatility and sectors
Bakshi, Tarini, (2021)
An evaluation of risk-adjusted performance and implicit risk preference of selected mutual fund schemes in India
Prakash R. P., (2020)