[HTML][HTML] A systematic literature review of volatility and risk management on cryptocurrency investment: A methodological point of view

J Almeida, TC Gonçalves - Risks, 2022 - mdpi.com
In this study, we explore the research published from 2009 to 2021 and summarize what
extant literature has contributed in the last decade to the analysis of volatility and risk …

A Systematic Literature Review of Volatility and Risk Management on Cryptocurrency Investment: A Methodological Point of View

J Almeida, TC Gonçalves - Risks, 2022 - ideas.repec.org
In this study, we explore the research published from 2009 to 2021 and summarize what
extant literature has contributed in the last decade to the analysis of volatility and risk …

[PDF][PDF] A Systematic Literature Review of Volatility and Risk Management on Cryptocurrency Investment: A Methodological Point of View. Risks 10: 107

J Almeida, TC Gonçalves - 2022 - researchgate.net
In this study, we explore the research published from 2009 to 2021 and summarize what
extant literature has contributed in the last decade to the analysis of volatility and risk …

A Systematic Literature Review of Volatility and Risk Management on Cryptocurrency Investment: A Methodological Point of View

J Almeida, TC Gonçalves - Risks, 2022 - search.proquest.com
In this study, we explore the research published from 2009 to 2021 and summarize what
extant literature has contributed in the last decade to the analysis of volatility and risk …

A Systematic Literature Review of Volatility and Risk Management on Cryptocurrency Investment: A Methodological Point of View

J Almeida, T Gonçalves - Risks, 2022 - econpapers.repec.org
In this study, we explore the research published from 2009 to 2021 and summarize what
extant literature has contributed in the last decade to the analysis of volatility and risk …

A Systematic Literature Review of Volatility and Risk Management on Cryptocurrency Investment: A Methodological Point of View.

J Almeida, TC Gonçalves - Risks, 2022 - search.ebscohost.com
In this study, we explore the research published from 2009 to 2021 and summarize what
extant literature has contributed in the last decade to the analysis of volatility and risk …