Excess Returns and Risk at the Long End of the Treasury Market : An Egarch-M Approach
Document Type
Article
Publication Date
September 1995
Publication Title
Social Science Research Network
Volume Number
1995
Issue Number
522
DOI
10.17016/IFDP.1995.522
Recommended Citation
Brunner, Allan and Simon, David, "Excess Returns and Risk at the Long End of the Treasury Market : An Egarch-M Approach" (1995). Regis University Faculty Publications (comprehensive list). 1406.
https://epublications.regis.edu/facultypubs/1406
COinS