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The risk-return relationship and volatility feedback in South Africa: a comparative analysis of the parametric and nonparametric Bayesian approach.
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- Quantitative Finance & Economics, 2023, v. 7, n. 1, p. 119, doi. 10.3934/QFE.2023007
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An innovative extended Bayesian analysis of the relationship between returns and different risk measures in South Africa.
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- Quantitative Finance & Economics, 2022, v. 6, n. 4, p. 570, doi. 10.3934/QFE.2022025
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- Article