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Иш: On the Relation between the Expected Value and the Volatility of the Nominal Excess Return on Stocks
The relationship between the risk of the asset and its expected rate of return: a case of stock exchange market of five European countries
Khurshid Khudoykulov, Rustam Allado`stov, Ulugbek Khalikov
МақолаFinancial Markets and Investment StrategiesInternational Journal of Modelling and Simulation20162 иқтибосABI