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Downside Risk, Portfolio Diversification and the Financial Crisis in the Euro-Zone
AuthID
P-009-PZA
3
Author(s)
Sarafrazi, S
·
Hammoudeh, S
·
AraujoSantos, P
Document Type
Article
Year published
2014
Published
in
JOURNAL OF INTERNATIONAL FINANCIAL MARKETS INSTITUTIONS & MONEY,
ISSN: 1042-4431
Volume: 32, Issue: 1, Pages: 368-396 (29)
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Publication Identifiers
DOI
:
10.1016/j.intfin.2014.06.008
SCOPUS
: 2-s2.0-84904868048
Wos
: WOS:000341152800017
Source Identifiers
ISSN
: 1042-4431
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