共 50 条
- [3] ANALYSIS OF SECTORAL INDEX STOCK RETURNS AND RISK (VOLATILITY) ON THE CROATIAN FINANCIAL MARKET [J]. 9TH INTERNATIONAL SCIENTIFIC CONFERENCE: TOURISM, INNOVATIONS AND ENTREPRENEURSHIP (TIE 2019), 2020, : 381 - 394
- [6] Risk Measurement of the Malaysian Stock Market [J]. SOCIALITY AND ECONOMICS DEVELOPMENT, 2011, 10 : 509 - 514
- [9] Islamic Finance and Herding Behavior Theory: A Sectoral Analysis for Gulf Islamic Stock Market [J]. INTERNATIONAL JOURNAL OF FINANCIAL STUDIES, 2019, 7 (04):