资本资产定价模型多变量检验对收益测量区间的敏感性

Sensitivity of Multivariate Tests of the Capital Asset-Pricing Model to the Return Measurement Interval

Journal of Finance · 1993
被引 22
人大 A+FT50UTD24ABS 4*
资产定价金融计量经济学多变量统计实证金融