GORMUS, S.; GULOGLU, B.; GUNES, S. Determinant of Stock Market Return Correlation: An Extented Gravity Model Approach. International Journal of Contemporary Economics and Administrative Sciences, [S. l.], v. 1, n. 4, p. 298–312, 2011. Disponível em: http://www.ijceas.com/index.php/ijceas/article/view/41. Acesso em: 29 mar. 2024.