S. DERİNDERE KÖSEOĞLU And İ. Gökbulut, "Market Risk of Turkish Sectors between 2001-2011: A Bivartiate GARCH Approach," AFRICAN JOURNAL OF BUSINESS MANAGEMENT , vol.6, pp.6948-6957, 2013
DERİNDERE KÖSEOĞLU, S. And Gökbulut, İ. 2013. Market Risk of Turkish Sectors between 2001-2011: A Bivartiate GARCH Approach. AFRICAN JOURNAL OF BUSINESS MANAGEMENT , vol.6 , 6948-6957.
DERİNDERE KÖSEOĞLU, S., & Gökbulut, İ., (2013). Market Risk of Turkish Sectors between 2001-2011: A Bivartiate GARCH Approach. AFRICAN JOURNAL OF BUSINESS MANAGEMENT , vol.6, 6948-6957.
DERİNDERE KÖSEOĞLU, Sinem, And İlker Gökbulut. "Market Risk of Turkish Sectors between 2001-2011: A Bivartiate GARCH Approach," AFRICAN JOURNAL OF BUSINESS MANAGEMENT , vol.6, 6948-6957, 2013
DERİNDERE KÖSEOĞLU, Sinem D. And Gökbulut, İlker. "Market Risk of Turkish Sectors between 2001-2011: A Bivartiate GARCH Approach." AFRICAN JOURNAL OF BUSINESS MANAGEMENT , vol.6, pp.6948-6957, 2013
DERİNDERE KÖSEOĞLU, S. And Gökbulut, İ. (2013) . "Market Risk of Turkish Sectors between 2001-2011: A Bivartiate GARCH Approach." AFRICAN JOURNAL OF BUSINESS MANAGEMENT , vol.6, pp.6948-6957.
@article{article, author={Sinem DERİNDERE KÖSEOĞLU And author={İlker Gökbulut}, title={Market Risk of Turkish Sectors between 2001-2011: A Bivartiate GARCH Approach}, journal={AFRICAN JOURNAL OF BUSINESS MANAGEMENT}, year=2013, pages={6948-6957} }