M. Umutlu Et Al. , "The degree of financial liberalization and aggregated stock-return volatility in emerging markets," JOURNAL OF BANKING & FINANCE , vol.34, no.3, pp.509-521, 2010
Umutlu, M. Et Al. 2010. The degree of financial liberalization and aggregated stock-return volatility in emerging markets. JOURNAL OF BANKING & FINANCE , vol.34, no.3 , 509-521.
Umutlu, M., Akdeniz, L., & Salih, A., (2010). The degree of financial liberalization and aggregated stock-return volatility in emerging markets. JOURNAL OF BANKING & FINANCE , vol.34, no.3, 509-521.
Umutlu, Mehmet, Levent Akdeniz, And Aslıhan Salih. "The degree of financial liberalization and aggregated stock-return volatility in emerging markets," JOURNAL OF BANKING & FINANCE , vol.34, no.3, 509-521, 2010
Umutlu, Mehmet Et Al. "The degree of financial liberalization and aggregated stock-return volatility in emerging markets." JOURNAL OF BANKING & FINANCE , vol.34, no.3, pp.509-521, 2010
Umutlu, M. Akdeniz, L. And Salih, A. (2010) . "The degree of financial liberalization and aggregated stock-return volatility in emerging markets." JOURNAL OF BANKING & FINANCE , vol.34, no.3, pp.509-521.
@article{article, author={Mehmet Umutlu Et Al. }, title={The degree of financial liberalization and aggregated stock-return volatility in emerging markets}, journal={JOURNAL OF BANKING & FINANCE}, year=2010, pages={509-521} }