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변동성 국면에 따른 KOSPI200 지수옵션 투자자들의 이상반응

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dc.contributor.author강병진-
dc.date.available2018-05-10T05:28:26Z-
dc.date.created2018-04-18-
dc.date.issued2012-04-
dc.identifier.issn1738-0715-
dc.identifier.urihttp://scholarworks.bwise.kr/ssu/handle/2018.sw.ssu/12553-
dc.language한국어-
dc.language.isoko-
dc.publisher금융지식연구소-
dc.relation.isPartOf금융지식연구-
dc.title변동성 국면에 따른 KOSPI200 지수옵션 투자자들의 이상반응-
dc.title.alternativeVolatility Regimes and Misreaction in the KOSPI200 Index Options Market-
dc.typeArticle-
dc.type.rimsART-
dc.identifier.bibliographicCitation금융지식연구, v.10, no.1, pp.107 - 133-
dc.identifier.kciidART001654081-
dc.description.journalClass2-
dc.citation.endPage133-
dc.citation.number1-
dc.citation.startPage107-
dc.citation.title금융지식연구-
dc.citation.volume10-
dc.contributor.affiliatedAuthor강병진-
dc.identifier.urlhttps://www.kci.go.kr/kciportal/ci/sereArticleSearch/ciSereArtiView.kci?sereArticleSearchBean.artiId=ART001654081-
dc.description.isOpenAccessN-
dc.description.journalRegisteredClasskci-
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