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dc.contributor.authorGökbulut, İlker
dc.contributor.authorDERİNDERE KÖSEOĞLU, SİNEM
dc.date.accessioned2021-03-02T23:20:12Z
dc.date.available2021-03-02T23:20:12Z
dc.identifier.citationDERİNDERE KÖSEOĞLU S., Gökbulut İ., "Market Risk of Turkish Sectors between 2001-2011: A Bivartiate GARCH Approach", AFRICAN JOURNAL OF BUSINESS MANAGEMENT, cilt.6, ss.6948-6957, 2013
dc.identifier.issn1993-8233
dc.identifier.othervv_1032021
dc.identifier.otherav_11d50841-04fd-4085-adef-824a02cfdec8
dc.identifier.urihttp://hdl.handle.net/20.500.12627/17449
dc.language.isoeng
dc.subjectİşletme
dc.subjectSosyal ve Beşeri Bilimler
dc.subjectEkonomi ve İş
dc.subjectSosyal Bilimler (SOC)
dc.titleMarket Risk of Turkish Sectors between 2001-2011: A Bivartiate GARCH Approach
dc.typeMakale
dc.relation.journalAFRICAN JOURNAL OF BUSINESS MANAGEMENT
dc.contributor.departmentZonguldak Karaelmas Üniversitesi , ,
dc.identifier.volume6
dc.identifier.startpage6948
dc.identifier.endpage6957
dc.contributor.firstauthorID649464


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