We would like to thank Arnie Cowan (the editor) and an anonymous referee for constructive and detailed suggestions. All remaining shortcomings are our own responsibility.
The Intertemporal Risk-Return Relation in the Stock Market
Article first published online: 12 OCT 2009
© 2009, The Eastern Finance Association
Volume 44, Issue 4, pages 541–558, November 2009
How to Cite
Jiang, X. and Lee, B. S. (2009), The Intertemporal Risk-Return Relation in the Stock Market. Financial Review, 44: 541–558. doi: 10.1111/j.1540-6288.2009.00229.x
- Issue published online: 12 OCT 2009
- Article first published online: 12 OCT 2009
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