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VOLATILITY MODELLING AND TIME SERIES ANALYSIS: Theoretical and Empirical Investigation,Used VOLATILITY MODELLING AND TIME SERIES ANALYSIS: Theoretical and Empirical Investigation,Used
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VOLATILITY MODELLING AND TIME SERIES ANALYSIS: Theoretical and Empirical Investigation,Used
The entire financial system is based on interaction between risk and return. Financial researchers and analysts express the risk as the standard deviation of returns...
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