Parameter Uncertainty, Financial Turbulence and Aggregate Stock Returns

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Reference

Stöckl, S. (2022, April 12). Parameter Uncertainty, Financial Turbulence and Aggregate Stock Returns. Finance Research Seminar, University of Konstanz, Konstanz, Germany.

Publication type

Lecture / Presentation

Persons

Organizational Units

  • Chair in Finance
  • Institute for Finance

Original Source URL

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