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dc.contributor.authorGiresunlu, İ. Müfit
dc.contributor.authorÖZDEMİR, Erhan
dc.date.accessioned2021-03-03T19:14:02Z
dc.date.available2021-03-03T19:14:02Z
dc.identifier.citationÖZDEMİR E., Giresunlu İ. M. , "The Selection of Risky Stock Portfolios Based on The Risk Aversion Constant", Physics, Mathematics, Journal "Knowledge", "Education Society of Azerbaijan Republic", ss.61-66, 2004
dc.identifier.otherav_53752050-9001-4440-88ad-b85ae9d20395
dc.identifier.othervv_1032021
dc.identifier.urihttp://hdl.handle.net/20.500.12627/59165
dc.language.isoeng
dc.subjectSosyal ve Beşeri Bilimler
dc.subjectİşletme
dc.subjectEkonomi ve İş
dc.subjectSosyal Bilimler (SOC)
dc.titleThe Selection of Risky Stock Portfolios Based on The Risk Aversion Constant
dc.typeMakale
dc.relation.journalPhysics, Mathematics, Journal "Knowledge", "Education Society of Azerbaijan Republic"
dc.contributor.departmentİstanbul Üniversitesi , ,
dc.identifier.startpage61
dc.identifier.endpage66
dc.contributor.firstauthorID288443


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