共 50 条
- [1] Threshold Modelling of Stock Return Volatility on Eastern European Markets. [J]. Economics of Planning, 1997, 30 : 107 - 125
- [2] Stock return volatility on emerging Eastern European markets [J]. MANCHESTER SCHOOL OF ECONOMIC AND SOCIAL STUDIES, 1997, 65 : 118 - 138
- [3] CORRELATION AND VOLATILITY IN CENTRAL AND EASTERN EUROPEAN STOCK MARKETS [J]. INDUSTRIAL REVOLUTIONS, FROM THE GLOBALIZATION AND POST-GLOBALIZATION PERSPECTIVE, VOL IV: BANKING, ACCOUNTING AND FINANCIAL SYSTEMS FROM THE 21ST CENTURY PERSPECTIVE, 2009, : 326 - 335
- [6] Effect of Economic and Monetary Policy Uncertainty on stock markets. Evidence on return, volatility and liquidity [J]. ECONOMICS BULLETIN, 2020, 40 (02): : 1261 - 1271
- [8] VOLATILITY SPILLOVERS BETWEEN EASTERN EUROPEAN AND EURO ZONE STOCK MARKETS [J]. TRANSFORMATIONS IN BUSINESS & ECONOMICS, 2015, 14 (2A): : 464 - 477
- [9] Volatility and return spillovers between stock markets and cryptocurrencies [J]. QUARTERLY REVIEW OF ECONOMICS AND FINANCE, 2021, 82 : 30 - 36
- [10] Indication of multiscaling in the volatility return intervals of stock markets [J]. PHYSICAL REVIEW E, 2008, 77 (01):