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dc.contributor.advisorGonçalves, Sílvia
dc.contributor.authorLebelon, Dario
dc.date.accessioned2011-06-03T18:15:58Z
dc.date.available2011-06-03T18:15:58Z
dc.date.issued2011-04-29
dc.identifier.urihttp://hdl.handle.net/1866/5087
dc.titlePrévisibilité des rendements excédentaires des actifs financiers: le papier de Bandi et Perron (2008) revisité
dc.typeTravail étudiant / Student worken
etd.degree.disciplineSciences économiquesen
etd.degree.grantorUniversité de Montréalen
etd.degree.nameM. Sc.en
dcterms.languagefraen
UdeM.cycleÉtudes aux cycles supérieurs / Graduate studies


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