Type of publication: Book / Working Paper
Language: English
Notes:
Garita, Gus (2009): Risk-Factor Portfolios and Financial Stability.
Classification: F15 - Economic Integration ; C10 - Econometric and Statistical Methods: General. General ; E44 - Financial Markets and the Macroeconomy ; F36 - Financial Aspects of Economic Integration
Source:
BASE
Persistent link: https://www.econbiz.de/10015220773