期刊论文详细信息
| Journal of Economics and Management | |
| Factors affecting stock return volatility in the banking sector in the euro zone | |
| Katarzyna Niewińska1  | |
| [1] Department of Insurance and Capital Markets, Faculty of Management, University of Warsaw, Warsaw, Poland; | |
| 关键词: beta; unemployment; historical volatility; implied volatility; | |
| DOI : 10.22367/jem.2020.39.07 | |
| 来源: DOAJ | |
【 授权许可】
Unknown