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Volumn 11, Issue 1, 2000, Pages 91-100

Identifying the bottom line after a stock market crash

(1)  Roehner, B M a  

a LPTHE   (France)

Author keywords

Comparative Study; Crashes; Interest Rate Spread; Stock Market; Uncertainty

Indexed keywords


EID: 0034372615     PISSN: 01291831     EISSN: None     Source Type: Journal    
DOI: 10.1142/S0129183100000092     Document Type: Article
Times cited : (16)

References (18)
  • 17
    • 84881786579 scopus 로고
    • Financial market volatility. Panics under the national banking system before 1914. Volatility in the long-run 1830-1988
    • ed. E. N. White Dow Jones-Irwin, Homewood
    • J. Wilson, R. Sylla, and C. P. Jones, "Financial market volatility. Panics under the national banking system before 1914. Volatility in the long-run 1830-1988," in Crashes and Panics: The Lessons From History, ed. E. N. White (Dow Jones-Irwin, Homewood, 1990).
    • (1990) Crashes and Panics: The Lessons from History
    • Wilson, J.1    Sylla, R.2    Jones, C.P.3


* 이 정보는 Elsevier사의 SCOPUS DB에서 KISTI가 분석하여 추출한 것입니다.