Liquidity, risk, and return: Specifying an objective function for the management of foreign reserves
Year of publication: |
2010
|
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Authors: | Romanyuk, Yuliya |
Publisher: |
Ottawa : Bank of Canada |
Subject: | Portfolio-Management | Währungsreserven | Währungsmanagement | Rentabilität | Risikopräferenz | Betriebliche Liquidität | Theorie | Foreign reserves management |
Series: | Bank of Canada Discussion Paper ; 2010-13 |
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Type of publication: | Book / Working Paper |
Type of publication (narrower categories): | Working Paper |
Language: | English |
Other identifiers: | 10.34989/sdp-2010-13 [DOI] 635660040 [GVK] hdl:10419/66912 [Handle] RePEc:bca:bocadp:10-13 [RePEc] |
Classification: | G11 - Portfolio Choice |
Source: |
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Romanyuk, Yuliya, (2010)
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