Stock portfolio excess returns and macroeconomic variables: An empirical analysis of the singapore stock market
10.1007/BF01731421
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sg-nus-scholar.10635-452302015-01-17T00:54:29Z Stock portfolio excess returns and macroeconomic variables: An empirical analysis of the singapore stock market Ariff, M. Fai, P.K. FINANCE & ACCOUNTING 10.1007/BF01731421 Asia Pacific Journal of Management 7 2 21-40 2013-10-11T08:14:46Z 2013-10-11T08:14:46Z 1990 Article Ariff, M.,Fai, P.K. (1990). Stock portfolio excess returns and macroeconomic variables: An empirical analysis of the singapore stock market. Asia Pacific Journal of Management 7 (2) : 21-40. ScholarBank@NUS Repository. <a href="https://doi.org/10.1007/BF01731421" target="_blank">https://doi.org/10.1007/BF01731421</a> 02174561 http://scholarbank.nus.edu.sg/handle/10635/45230 NOT_IN_WOS Scopus |
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10.1007/BF01731421 |
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FINANCE & ACCOUNTING |
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FINANCE & ACCOUNTING Ariff, M. Fai, P.K. |
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Ariff, M. Fai, P.K. |
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Ariff, M. Fai, P.K. Stock portfolio excess returns and macroeconomic variables: An empirical analysis of the singapore stock market |
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Ariff, M. |
title |
Stock portfolio excess returns and macroeconomic variables: An empirical analysis of the singapore stock market |
title_short |
Stock portfolio excess returns and macroeconomic variables: An empirical analysis of the singapore stock market |
title_full |
Stock portfolio excess returns and macroeconomic variables: An empirical analysis of the singapore stock market |
title_fullStr |
Stock portfolio excess returns and macroeconomic variables: An empirical analysis of the singapore stock market |
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Stock portfolio excess returns and macroeconomic variables: An empirical analysis of the singapore stock market |
title_sort |
stock portfolio excess returns and macroeconomic variables: an empirical analysis of the singapore stock market |
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2013 |
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http://scholarbank.nus.edu.sg/handle/10635/45230 |
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