Acuña, C. (2022). Dependence and Systemic Risks in Financial Markets: Spatial and Upper Tail Analysis.
Citación estilo ChicagoAcuña, Carlos. Dependence and Systemic Risks in Financial Markets: Spatial and Upper Tail Analysis. 2022.
Cita MLAAcuña, Carlos. Dependence and Systemic Risks in Financial Markets: Spatial and Upper Tail Analysis. 2022.
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