共 74 条
[1]
Alexander C, 1998, Risk Management and Analysis, Volume 1: Measuring and modelling financial risk
[4]
Andersen Torben G., 1997, Journal of empirical finance, V4, P115, DOI [DOI 10.1016/S0927-5398(97)00004-2, 10.1016/s0927-5398(97)00004-2]
[5]
[Anonymous], 1995, Mathematical Finance, DOI [DOI 10.1111/J.1467-9965.1995.TB00099.X, DOI 10.1111/MAFI.1995.5.ISSUE-1]
[7]
Bera AK., 1993, J ECON SURV, V7, P305, DOI DOI 10.1111/J.1467-6419.1993.TB00170.X