Barndorff-Nielsen, O., Nielsen, B., Shephard, N., & Ysusi, C. (2002). Measuring and forecasting financial variability using realised variance with and without a model. Nuffield College (University of Oxford).
Čikaški stil citiranja (17. izdanje)Barndorff-Nielsen, O., B. Nielsen, N. Shephard, i C. Ysusi. Measuring and Forecasting Financial Variability Using Realised Variance with and Without a Model. Nuffield College (University of Oxford), 2002.
MLA način citiranja (9. izdanje)Barndorff-Nielsen, O., et al. Measuring and Forecasting Financial Variability Using Realised Variance with and Without a Model. Nuffield College (University of Oxford), 2002.
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