Abstract

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Year of Publication
2008
Journal
studies in Economics and Finance, 2008
Volume
25
Number of Pages
21–37
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The tail behavior of extreme stock returns in the Gulf emerging markets: an implication for financial risk management

Professor, Department of Finance

Citation: 1.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