Parameter Uncertainty, Financial Turbulence and Aggregate Stock Returns2017-11-24 · 0 min readLast updated on 2025-01-14 AuthorsSebastian StöcklAssociate Professor in Financial Economics ← Parameter Uncertainty, Financial Turbulence and Aggregate Stock Return 2017-12-18Parameter Uncertainty, Financial Turbulence and Aggregate Stock Return 2017-11-21 →