共 50 条
- [45] The interrelation of stock markets in China, Taiwan and Hong Kong and their constructional portfolio's value-at-risk estimate JOURNAL OF RISK MODEL VALIDATION, 2014, 8 (04): : 69 - 127
- [48] MODELLING VOLATILITY SPILLOVERS, CROSS-MARKET CORRELATION AND CO-MOVEMENTS BETWEEN STOCK MARKETS IN EUROPEAN UNION: AN EMPIRICAL CASE STUDY BUSINESS MANAGEMENT AND ECONOMICS ENGINEERING, 2021, 19 (01): : 70 - 90