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~institution:"Erasmus Research Institute of Management"
~subject:"Finanzmarkt"
~subject:"Portfolio-Management"
~subject:"Theorie"
~subject:"Welt"
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Modeling the conditional covariance between stock and bond returns : a multivariate GARCH approach
Goeij, Peter de
(
contributor
); …
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2002
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[Elektronische Ressource]
Persistent link: https://www.econbiz.de/10001639402
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