Risk and return on the Canadian capital markets: estimation and sensitivity analysis

Risk and return on the Canadian capital markets: estimation and sensitivity analysis

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dc.contributor.author Calvet, A. L en
dc.contributor.author Lefoll, Jean en
dc.date.accessioned 2010-08-13T13:45:52Z
dc.date.available 2010-08-13T13:45:52Z
dc.date.created 1985 en
dc.date.issued 2010-08-13T13:45:52Z
dc.identifier.uri http://hdl.handle.net/10393/19292
dc.description Le texte intégral de ce document de travail n'est pas disponible en ligne. Une copie papier est disponible à l'Annexe de la bibliothéque. Effectuez une recherche par titre dans le catalogue pour réserver le document. // The full text of this working paper is not available online. A print copy is available in the Library Annex. Search by title in the catalogue to request the paper. en
dc.language.iso ENG en
dc.publisher University of Ottawa, Faculty of Administration en
dc.subject.classification HD 30 .W66 v.85-36 1985 en
dc.title Risk and return on the Canadian capital markets: estimation and sensitivity analysis en

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