Foo, M. W. (2002). Returns and volatility in the Malaysian stock market: A sectoral study on day-of-the-week effects and causal relationship.
Chicago Style (17th ed.) CitationFoo, May Wand. Returns and Volatility in the Malaysian Stock Market: A Sectoral Study on Day-of-the-week Effects and Causal Relationship. 2002.
MLA引文Foo, May Wand. Returns and Volatility in the Malaysian Stock Market: A Sectoral Study on Day-of-the-week Effects and Causal Relationship. 2002.
警告:這些引文格式不一定是100%准確.