Next Article in Journal
Modelling the Impact of Different COVID-19 Pandemic Waves on Real Estate Stock Returns and Their Volatility Using a GJR-GARCHX Approach: An International Perspective
Next Article in Special Issue
A 3-Dimensional Frame of Reference for Prevention of Risk in Supply Chain
Previous Article in Journal
Oil Market Factors as a Source of Commonality in Liquidity in International Equity Markets
Previous Article in Special Issue
Risk and the Market’s Reaction to M&A Announcements
 
 
Communication

Article Versions Notes

J. Risk Financial Manag. 2021, 14(8), 373; https://doi.org/10.3390/jrfm14080373
Action Date Notes Link
article xml file uploaded 13 August 2021 12:58 CEST Original file -
article xml uploaded. 13 August 2021 12:58 CEST Update https://www.mdpi.com/1911-8074/14/8/373/xml
article pdf uploaded. 13 August 2021 12:58 CEST Version of Record https://www.mdpi.com/1911-8074/14/8/373/pdf
article html file updated 13 August 2021 12:59 CEST Original file https://www.mdpi.com/1911-8074/14/8/373/html
Back to TopTop