JOURNAL OF RISK AND FINANCIAL MANAGEMENT, ‎1911-8066

Journal

  1. 2022
  2. Published
  3. 2019
  4. Published

    The Stability of Factor Sensitivities of German Stock Market Sector Indices: Empirical Evidence and Some Thoughts about Practical Implications

    Wegener, C. & Basse, T., 09.2019, In: JOURNAL OF RISK AND FINANCIAL MANAGEMENT. 12, 3, 10 p., 140.

    Research output: Journal contributionsJournal articlesResearchpeer-review