Parameter Uncertainty, Financial Turbulence and Aggregate Stock Returns2020-04-03 · 1 min read PDF Code Dataset Slides Source Document VideoWorking Paper: Parameter Uncertainty, Financial Turbulence and Aggregate Stock Returns Took place online in 2021 due to Covid-19 restrictions.Last updated on 2025-10-26 AuthorsSebastian StöcklAssociate Professor in Financial Economics ← The Price of Populism: Financial Market Outcomes of Populist Electoral Success 2020-05-28Parameter Uncertainty, Financial Turbulence and Aggregate Stock Returns 2020-03-30 →