Abstract

n/a

Year of Publication
2008
Journal
studies in Economics and Finance, 2008
Volume
25
Number of Pages
21–37
Download citation

The tail behavior of extreme stock returns in the Gulf emerging markets: an implication for financial risk management

30-12-2014

Professor, Department of Finance

Citation: The tail behavior of extreme stock returns in the Gulf emerging markets: an implication for financial risk management. studies in Economics and Finance, 2008. 2008;25:21–37.

In: studies in Economics and Finance, 2008

Published by: Emerald Group Publishing Limited , 2008

Cited by: 19