Abnormal returns and systemic risk: evidence from a non-parametric bootstrap framework during the European sovereign debt crisis
2020 ◽
Vol 10
(3)
◽
pp. 264
2020 ◽
Vol 10
(3)
◽
pp. 264
Keyword(s):
2015 ◽
pp. 33-60
◽
2018 ◽
Vol 86
◽
pp. 1-30
◽
Keyword(s):
Keyword(s):