金融分析师盈利预测的离散度与股票收益的(期权模型)隐含标准差
Dispersion of Financial Analysts' Earnings Forecasts and the (Option Model) Implied Standard Deviations of Stock Returns
Journal of Finance · 1985
被引 10
人大 A+FT50UTD24ABS 4*
- Bipin B. Ajinkya
- Michael J. Gift
金融经济学资产定价分析师预测期权模型实证金融