Clements, A., & Drew, M. E. (2003). Investor expectations and systematic risk. School of Economics and Finance, Queensland University of Technology.
Chicago Style (17. basım) AtıfClements, Adam, ve Michael E. Drew. Investor Expectations and Systematic Risk. Brisbane: School of Economics and Finance, Queensland University of Technology, 2003.
MLA (8th ed.) AtıfClements, Adam, ve Michael E. Drew. Investor Expectations and Systematic Risk. School of Economics and Finance, Queensland University of Technology, 2003.
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