Information Journal Paper
APA:
CopyWHITELAW, R.. (2000). STOCK MARKET RISK AND RETURN: AN EMPIRICAL EQUILIBRIUM APPROACH. REVIEW OF FINANCIAL STUDIES, 13(-), 521-547. SID. https://sid.ir/paper/607799/en
Vancouver:
CopyWHITELAW R.. STOCK MARKET RISK AND RETURN: AN EMPIRICAL EQUILIBRIUM APPROACH. REVIEW OF FINANCIAL STUDIES[Internet]. 2000;13(-):521-547. Available from: https://sid.ir/paper/607799/en
IEEE:
CopyR. WHITELAW, “STOCK MARKET RISK AND RETURN: AN EMPIRICAL EQUILIBRIUM APPROACH,” REVIEW OF FINANCIAL STUDIES, vol. 13, no. -, pp. 521–547, 2000, [Online]. Available: https://sid.ir/paper/607799/en