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David G. McMillan

university of stirling

30H指数
337论文数
3.6K被引数
收录论文 37
发表时间
Forecasting the Realized Volatility of Stock Markets: The Roles of Jumps and Asymmetric Spillovers
err2024-12-10
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errAl Rababaa, Abdel Razzaq; Mensi, Walid; Mcmillan, David; Kang, Sang Hoon
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Oil price shocks and stock-bond correlation
err2023-09-01
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errZiadat, Salem Adel; Al Rababa'a, Abdel Razzaq A.; Rehman, Mobeen; Mcmillan, David G.
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Relative informative power and stock return predictability: a new perspective from Egypt
err2023-08-18
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PREAI
errHendawy, Enas; McMillan, David G.; Sakr, Zaki M.; Shahwan, Tamer Mohamed
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Multiscale stock-bond correlation: Implications for risk management
err2021-12-01
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errAl Rababa'a, Abdel Razzaq; Alomari, Mohammad; McMillan, David
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The role of oil as a determinant of stock market interdependence: The case of the USA and GCC
err2021-03-01
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errMcMillan, David G.; Ziadat, Salem Adel; Herbst, Patrick
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Inter- and intra-regional stock market relations for the GCC bloc
err2020-12-01
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errZiadat, Salem Adel; Herbst, Patrick; McMillan, David G.
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Is there a risk and return relation?
err2020-02-13
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errFifield, Suzanne G. M.; McMillan, David G.; McMillan, Fiona J.
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