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Journal: J. Risk Financial Manag., 2024
Volume: 17
Number: 268

Article: Risk Premium and Fear of Investors in Crisis’ Periods: An Empirical Approach Based on Fama–French and Carhart Factor Models
Authors: by Antonios Pentsas, Paraskevi Boufounou, Kanellos Toudas and Ioannis Katsampoxakis
Link: https://www.mdpi.com/1911-8074/17/7/268

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