Information Journal Paper
APA:
CopyMORELLI, D.. (2002). THE RELATIONSHIP BETWEEN CONDITIONAL STOCK MARKET VOLATILITY AND CONDITIONAL MACROECONOMIC VOLATILITY EMPIRICAL EVIDENCE BASED ON UK DATA. INTERNATIONAL REVIEW OF FINANCIAL ANALYSIS, 11(1), 101-110. SID. https://sid.ir/paper/583277/en
Vancouver:
CopyMORELLI D.. THE RELATIONSHIP BETWEEN CONDITIONAL STOCK MARKET VOLATILITY AND CONDITIONAL MACROECONOMIC VOLATILITY EMPIRICAL EVIDENCE BASED ON UK DATA. INTERNATIONAL REVIEW OF FINANCIAL ANALYSIS[Internet]. 2002;11(1):101-110. Available from: https://sid.ir/paper/583277/en
IEEE:
CopyD. MORELLI, “THE RELATIONSHIP BETWEEN CONDITIONAL STOCK MARKET VOLATILITY AND CONDITIONAL MACROECONOMIC VOLATILITY EMPIRICAL EVIDENCE BASED ON UK DATA,” INTERNATIONAL REVIEW OF FINANCIAL ANALYSIS, vol. 11, no. 1, pp. 101–110, 2002, [Online]. Available: https://sid.ir/paper/583277/en