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create a research study on volatility within financial markets; include intro, methodology, research method and analysis of literature with a ending conclusion. Add measures of

create a research study on volatility within financial markets; include intro, methodology, research method and analysis of literature with a ending conclusion. Add measures of volatility, volatility over the years and anything extra to make the study stand out. Various models have emerged to fit volatility of stock returns or foreign exchange rate changes (e.g. ARCH, GARCH, stochastic volatility models). Discuss this and summarise the literature. Analysis of literature has to be in depth and thorough. (Include limitations and so on). This research study has to be covering the topic of volatility in financial markets and capturing all aspects.
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