The relationship between trading volume, volatility and stock market returns : a test of mixed distribution hypothesis for a pre- and post crisis on Kuala Lumpur Stock Exchange
posted on 2005-01-01, 00:00authored byHuson Ali Ahmed, T Hassan, A Nasir
The relationship between trading volume, volatility and stock market returns : a test of mixed distribution hypothesis for a pre- and post crisis on Kuala Lumpur Stock Exchange