Early versions of this article have been presented at the meetings of the Northern Finance Association, 1999; the Financial Management Association, 1999; and the Financial Econometrics Conference, University of Waterloo, 2000.
Variance Spillover and Skewness in Financial Asset Returns
Article first published online: 10 JAN 2006
Volume 41, Issue 1, pages 139–156, February 2006
How to Cite
Korkie, B., Sivakumar, R. and Turtle, H. J. (2006), Variance Spillover and Skewness in Financial Asset Returns. Financial Review, 41: 139–156. doi: 10.1111/j.1540-6288.2006.00135.x
- Issue published online: 10 JAN 2006
- Article first published online: 10 JAN 2006
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