GIRARD, E.; RAHMAN, H.; ZAHER, T. Intertemporal risk-return relationship in the Asian markets around the Asian crisis. Financial Services Review, [S. l.], v. 10, n. 1-4, p. 249–272, 2001. DOI: 10.1016/S1057-0810(02)00094-X. Disponível em: https://openjournals.libs.uga.edu/fsr/article/view/3956. Acesso em: 3 jul. 2024.