From fe20c5c3d5736c5d96db726a8d4f82d8e0d1fee3 Mon Sep 17 00:00:00 2001 From: Carlo Bortolan <106114526+carlobortolan@users.noreply.github.com> Date: Sat, 10 Aug 2024 23:37:46 +0200 Subject: [PATCH] Update README.md --- README.md | 6 +++--- 1 file changed, 3 insertions(+), 3 deletions(-) diff --git a/README.md b/README.md index c386aee..9e97156 100644 --- a/README.md +++ b/README.md @@ -2,9 +2,6 @@ Analysis of the long-term evolution of international equity markets (average returns, volatilities, long-term correlations) and economic risks of European stock markets. -> [!Note] -> This project has been inspired by the _International Capital Markets and Investment Practice_ lecture held during S2024 by _Prof. Dr. Peter Oertmann_. - ## Case 1: Analyzing 25 years of stock market returns Analysis of the **longterm evolution of international equity markets**, i.e. @@ -58,6 +55,9 @@ Prob(Omnibus): 0.094 Jarque-Bera (JB): 4.503 ============================================================================== ``` +> [!Note] +> This project has been inspired by the _International Capital Markets and Investment Practice_ lecture held during S2024 by _Prof. Dr. Peter Oertmann_. + --- © Carlo Bortolan