Quantifying extreme risks in stock markets: A case of former Yugoslavian states
Saša Žiković · Faculty of Economics University of Rijeka · 2008
Acceso al recurso
Entrá al contenido desde la opción principal o elegí otra fuente disponible.
Acceso abierto al texto completo
Resumen
Descripción general del contenido del recurso.
Cómo citar
Elegí el formato que necesitás y copiá la referencia al portapapeles.
APA 7
Žiković, S. (2008). Quantifying extreme risks in stock markets: A case of former Yugoslavian states. www.efri.hr/sites/efri.hr/files/cr-collections/2/zikovic.pdf
MLA
Žiković, Saša. "Quantifying extreme risks in stock markets: A case of former Yugoslavian states." 2008. www.efri.hr/sites/efri.hr/files/cr-collections/2/zikovic.pdf.
Chicago
Žiković, Saša. 2008. "Quantifying extreme risks in stock markets: A case of former Yugoslavian states.". www.efri.hr/sites/efri.hr/files/cr-collections/2/zikovic.pdf.
Harvard
Žiković, S. 2008, Quantifying extreme risks in stock markets: A case of former Yugoslavian states, Faculty of Economics University of Rijeka, available at: www.efri.hr/sites/efri.hr/files/cr-collections/2/zikovic.pdf [Accessed 29 Jun. 2026].
Detalles del recurso
Información bibliográfica útil para confirmar que se trata del material correcto.
- Título
- Quantifying extreme risks in stock markets: A case of former Yugoslavian states
- Autor / colaboradores
- Saša Žiković
- Editorial
- Faculty of Economics University of Rijeka
- Año de publicación
- 2008
- ISSN
- 1331-8004
- ISSN
- 1331-8004
- Idioma
- eng
Materias
Explorá otros recursos relacionados a partir de estas materias.