Estimating the probability of large negative stock market
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Kostov, Phillip and McErlean, Seamus (2002) Estimating the probability of large negative stock market. Technical Report. Philip Kostov & Seamus Mcerlean. (Unpublished)
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Official URL: http://ideas.repec.org/p/wpa/wuwpfi/0409011.html
| Item Type: | Monograph (Technical Report) |
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| Subjects: | H Social Sciences > HG Finance H Social Sciences > HA Statistics |
| Schools: | Lancashire Business School |
| ID Code: | 1413 |
| Deposited By: | Phillip Kostov |
| Deposited On: | 25 Jan 2011 11:54 |
| Last Modified: | 22 Sep 2011 12:10 |
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