| dc.contributor.author | ULUDAĞ, Kültigin | |
| dc.contributor.author | KAZAN, Halim | |
| dc.date.accessioned | 2021-03-04T18:25:48Z | |
| dc.date.available | 2021-03-04T18:25:48Z | |
| dc.date.issued | 2014 | |
| dc.identifier.citation | KAZAN H., ULUDAĞ K., "Credit Portfolio Selection According To Sectors in Risky Environments: Markowitz Practice", Asian Economic and Financial Review, cilt.4, ss.1208-1219, 2014 | |
| dc.identifier.other | vv_1032021 | |
| dc.identifier.other | av_8a955368-bfbe-44b9-9e61-269629e7f8a7 | |
| dc.identifier.uri | http://hdl.handle.net/20.500.12627/93935 | |
| dc.language.iso | eng | |
| dc.subject | Sosyal ve Beşeri Bilimler | |
| dc.subject | Sosyal Bilimler (SOC) | |
| dc.subject | Sosyal Bilimler Genel | |
| dc.title | Credit Portfolio Selection According To Sectors in Risky Environments: Markowitz Practice | |
| dc.type | Makale | |
| dc.relation.journal | Asian Economic and Financial Review | |
| dc.contributor.department | Diğer Kurumlar , , | |
| dc.identifier.volume | 4 | |
| dc.identifier.issue | 9 | |
| dc.identifier.startpage | 1208 | |
| dc.identifier.endpage | 1219 | |
| dc.contributor.firstauthorID | 428906 | |