Estimation of tail-related risk measures in the Indian stock market An extreme value approach.
| Publié dans: | Review of financial economics V. 23, 3 (2013). |
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| Auteur principal: | |
| Format: | Article |
| Langue: | English |
| Sujets: |
| Publié dans: | Review of financial economics V. 23, 3 (2013). |
|---|---|
| Auteur principal: | |
| Format: | Article |
| Langue: | English |
| Sujets: |