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Keywords: Multivariate GARCH
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Journal Articles
International Journal of Managerial Finance (2023) 19 (4): 772–802.
Published: 26 August 2022
... Systemic risk Multivariate GARCH E52 F50 G23 G28 East Asian stock markets are more closely related to Europe and the United States, but East Asia's financial integration remains low (Park and Bae, 2002 ; Shin and Sohn, 2006). Park (2007) studied intra-regional monetary and financial...
