Relationship between Volatility and Expected Returns Across International Stock Markets
Document Type
Article
Publication Title
Journal of Business Finance and Accounting
ISSN
1468-5957
Volume
22
Issue
2
DOI
10.1111/j.1468-5957.1995.tb00685.x
First Page
289
Last Page
300
Publication Date
3-1-1995
Recommended Citation
Theodossiou, P.,
&
Lee, U.
(1995).
Relationship between Volatility and Expected Returns Across International Stock Markets.
Journal of Business Finance and Accounting, 22(2), 289–300.
DOI: 10.1111/j.1468-5957.1995.tb00685.x
https://scholarlycommons.pacific.edu/esob-facarticles/231