Additional Metadata
Keywords stock market, returns, volatility, multifactor model, multifactor, investments
Thesis Advisor Rajamani, Anjana, Bersem, Mario
Persistent URL hdl.handle.net/2105/48338
Series Finance & Investments
Citation
Kopij Zanin, Nicola. (2019, July 11). A multifactor relationship between macroeconomic and financial variables, returns and volatility of European stock indexes. Finance & Investments. Retrieved from http://hdl.handle.net/2105/48338