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- [32] Real-Estate Risk Effects on Financial Institutions' Stock Return Distribution: a Bivariate GARCH Analysis JOURNAL OF REAL ESTATE FINANCE AND ECONOMICS, 2010, 40 (01): : 89 - 107
- [33] Real-Estate Risk Effects on Financial Institutions’ Stock Return Distribution: a Bivariate GARCH Analysis The Journal of Real Estate Finance and Economics, 2010, 40 : 89 - 107