| dc.contributor.author | Giresunlu, İ. Müfit | |
| dc.contributor.author | ÖZDEMİR, Erhan | |
| dc.date.accessioned | 2021-03-03T19:14:02Z | |
| dc.date.available | 2021-03-03T19:14:02Z | |
| dc.identifier.citation | ÖZDEMİR 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.other | av_53752050-9001-4440-88ad-b85ae9d20395 | |
| dc.identifier.other | vv_1032021 | |
| dc.identifier.uri | http://hdl.handle.net/20.500.12627/59165 | |
| dc.language.iso | eng | |
| dc.subject | Sosyal ve Beşeri Bilimler | |
| dc.subject | İşletme | |
| dc.subject | Ekonomi ve İş | |
| dc.subject | Sosyal Bilimler (SOC) | |
| dc.title | The Selection of Risky Stock Portfolios Based on The Risk Aversion Constant | |
| dc.type | Makale | |
| dc.relation.journal | Physics, Mathematics, Journal "Knowledge", "Education Society of Azerbaijan Republic" | |
| dc.contributor.department | İstanbul Üniversitesi , , | |
| dc.identifier.startpage | 61 | |
| dc.identifier.endpage | 66 | |
| dc.contributor.firstauthorID | 288443 | |