MACRO FACTOR, MARKET VOLATILITY, AND STOCK-BOND CORRELATION: A DYNAMIC MIXED DATA SAMPLING FORECAST.
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| Title: | MACRO FACTOR, MARKET VOLATILITY, AND STOCK-BOND CORRELATION: A DYNAMIC MIXED DATA SAMPLING FORECAST. |
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| Authors: | CHEN, QIAN1 (AUTHOR), GAO, XIANG2 (AUTHOR), CHEN, CHEN3 (AUTHOR), TIAN, SHUAIRU2 (AUTHOR) tiansr@sbs.edu.cn, HAMORI, SHIGEYUKI4 (AUTHOR) hamori@econ.kobe-u.ac.jp |
| Source: | Singapore Economic Review. 9/15/2026, Vol. 71 Issue 7, p1907-1936. 30p. |
| Database: | Business Source Ultimate |
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| ISSN: | 02175908 |
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| DOI: | 10.1142/S021759082250028X |