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<metadata xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xmlns:dc="http://purl.org/dc/elements/1.1/"><dc:title>Vpliv makroekonomskih indikatorjev na donosnost koncentriranih in tržnih portfeljev finančnih naložb</dc:title><dc:creator>Jazbec,	Miha	(Avtor)
	</dc:creator><dc:creator>Ichev,	Riste	(Mentor)
	</dc:creator><dc:creator>Berk,	Aleš	(Član komisije za zagovor)
	</dc:creator><dc:creator>Spruk,	Rok	(Član komisije za zagovor)
	</dc:creator><dc:subject>capital market</dc:subject><dc:subject>macroeconomics</dc:subject><dc:subject>indicators</dc:subject><dc:subject>shares</dc:subject><dc:subject>value</dc:subject><dc:subject>investments</dc:subject><dc:subject>portfolio</dc:subject><dc:subject>regression analysis</dc:subject><dc:publisher>M. Jazbec</dc:publisher><dc:date>2025</dc:date><dc:date>2025-12-23 13:38:41</dc:date><dc:type>Magistrsko delo/naloga</dc:type><dc:identifier>177482</dc:identifier><dc:identifier>UDK: 004.6</dc:identifier><dc:identifier>COBISS_ID: 258360579</dc:identifier><dc:language>sl</dc:language></metadata>
