Global portfolio diversification : risk management, market microstructure, and implementation issues
Year of publication: |
1995
|
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Other Persons: | Aggarwal, Raj (contributor) |
Publisher: |
San Diego, Calif. [u.a.] : Academic Press |
Subject: | Portfolio Selection | Risikomanagement | Diversifikation |
Description of contents: | Table of Contents [digitool.hbz-nrw.de] |
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Global portfolio diversification : risk management, market microstructure, and implementation issues
Aggarwal, Raj, (1995)
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Widmer, Cornel, (2007)
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Risk reduction by diversification in the Nordic stock markets
Haavisto, Tarmo, (1991)
- More ...
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East Asian Real Exchange Rates and PPP: New Evidence from panel-data tests
Baharumshah, Ahmad Zubaidi, (2005)
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On the Globalness of Emerging Multinationals: A Study of Indian MNEs
Aggarwal, Raj, (2010)
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Assessing the Impact of Prompt Corrective Action on Bank Capital and Risk
Aggarwal, Raj, (1998)
- More ...