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17. Shin J., (2005), Stock return and volatility in emerging stock
markets, International Journal of Business and Economics,4,3143.
18. Theodossiou, P. and Lee, U. 1995. Relationship betweenVolatility and
Expected Returns Across International Stock Markets, Journal of
Business Finance andAccounting, 22: 289-300.
19. Wasserfallen, W.1980. Maeroeconomics Name and the stock market:
Evpidend Journal of banking and finance.4:613-626.
20. William, Sharpe.1970 Portfolio Theory and Capital Warkets N.Y.:
WcGrow- Hill.
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