Publisher Financial Markets Group, London School of Economics and Political Science, Financial Markets Group,
Publication date 0000
Publication location London
Topics
Government securities :: Prices :: Econometric models
Risk-return relationships :: Econometric models
Catalogue Data
OBNB ID GBB363259
ISBN 10 n/a
ISBN 13 n/a
Type BibliographicResource, Book
Dewey Classification 332.63232015118
ISBD
P1053 51 pages
P1042 Includes bibliographical references.
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Bond variance risk premia by Philippe Mueller. Published by Financial Markets Group, London School of Economics and Political Science, Financial Markets Group, . Publication and catalogue information, links to buy online and reader comments.