Vytlačiť
1. U.S. Financial Sector Volatility: A Bayesian Model Averaging Perspective
:GERNÁT, Peter - KOŠŤÁLOVÁ, Zuzana - LYÓCSA, Štefan. U.S. Financial Sector Volatility: A Bayesian Model Averaging Perspective. In PEFnet 2018. European Scientific Conference of Doctoral Students. PEFnet 2018 : Abstracts of Proceedings from 22nd European Scientific Conference of Doctoral Students, Brno, November 29, 2018. - Brno : Mendel University in Brno, 2018. ISBN 978-80-7509-602-9, p. 23 online.