<?xml version="1.0"?>
<rdf:RDF xmlns:rdf="http://www.w3.org/1999/02/22-rdf-syntax-ns#" xmlns:dc="http://purl.org/dc/elements/1.1/"><rdf:Description rdf:about="https://repozitorij.uni-lj.si/IzpisGradiva.php?id=96858"><dc:title>Modeli pri upravljanju portfeljev</dc:title><dc:creator>Pugelj,	Klara	(Avtor)
	</dc:creator><dc:creator>Košir,	Tomaž	(Mentor)
	</dc:creator><dc:subject>finančna matematika</dc:subject><dc:subject>model povprečje-varianca</dc:subject><dc:subject>točka minimalne variance</dc:subject><dc:subject>učinkovita meja</dc:subject><dc:subject>faktorski modeli</dc:subject><dc:subject>ATP model</dc:subject><dc:subject>CAPM model</dc:subject><dc:subject>Black-Littermanov model</dc:subject><dc:publisher>[K. Pugelj]</dc:publisher><dc:date>2012</dc:date><dc:date>2017-10-17 08:09:05</dc:date><dc:type>Delo diplomskega seminarja/zaključno seminarsko delo/naloga</dc:type><dc:identifier>96858</dc:identifier><dc:language>sl</dc:language></rdf:Description></rdf:RDF>
