PADMAKUMARI, L. .; MAHESWARAN, S. . A Regression Based Approach to Capturing the Level Dependence in the Volatility of Stock Returns. Asian Economic and Financial Review , [S. l.], v. 6, n. 12, p. 706–718, 2016. DOI: 10.18488/journal.aefr/2016.6.12/102.12.706.718. Disponível em: https://archive.aessweb.com/index.php/5002/article/view/1516. Acesso em: 3 jul. 2024.