2019-04-30
Long Term Portfolio Choice: Stock Return Predictability & Regime Uncertainty
Publication
Publication
Additional Metadata | |
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Scholtus, K. | |
hdl.handle.net/2105/47305 | |
Econometrie | |
Organisation | Erasmus School of Economics |
Gorlov, R.S. (2019, April 30). Long Term Portfolio Choice: Stock Return Predictability & Regime Uncertainty. Econometrie. Retrieved from http://hdl.handle.net/2105/47305
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