Cite
HARVARD Citation
Nguyen, T. et al. (2023). A Statistical Recurrent Stochastic Volatility Model for Stock Markets. Journal of business & economic statistics. 41 (2), pp. 414-428. [Online].
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Nguyen, T. et al. (2023). A Statistical Recurrent Stochastic Volatility Model for Stock Markets. Journal of business & economic statistics. 41 (2), pp. 414-428. [Online].