Sectoral Study of the Correlation Risk – Return for Romanian Companies
Year of publication: |
2012
|
---|---|
Authors: | Horia – Dumitru CRISTEA ; Cecilia – Nicoleta ANIS |
Published in: |
Risk in Contemporary Economy. - Facultatea de Economie şi Administrarea Afacerilor, ISSN 2067-0532. - 2012, p. 289-292
|
Publisher: |
Facultatea de Economie şi Administrarea Afacerilor |
Subject: | risk | return on assets | return on equity | GMM system | net profit | sectors |
-
SECTORAL RISK AND RETURN FOR COMPANIES IN ROMANIA
Ion, Lala - Popa, (2012)
-
Habib, Saeeda, (2014)
-
THE CORELLATION RISK – RETURN ON EMERGENT MARKETS: THE ROMANIAN CASE
D, Prof. Alexandru Buglea Ph., (2011)
- More ...
-
Profitability and Risk – Components of the Financial Management
Popa-Lala, Ion, (2010)
-
PERFORMANCE MEASUREMENT THROUGH FINANCIAL INDICATORS
Cecilia – Nicoleta Anis, (2012)
- More ...