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303. Passive investment strategiesBlaž Žličar, 2011, master's thesis Keywords: trg kapitala, investicije, strategija, portfolio, indeksi, tveganje, donos, ocene, metode, analiza, capital market, investments, strategy, portfolio, indexes, risk, yield, evaluation, methods, analysis Full text (outside link) |
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305. The financial sector in the Republic of Macedonia after the financial crisis and regulatory and supervisory measures for preserving the financial sector stabilityBojana Mijović-Hristovska, 2013, master's thesis Keywords: Makedonija, finance, krize, bančništvo, trg kapitala, zavarovalstvo, stabilnost sistemov, zakonodaja, trendi, Macedonia, finance, crises, banking, capital market, insurance, stability of systems, legislation, trends Full text (outside link) |
306. Momentum effect in frontier capital marketsNejc Orel, 2013, master's thesis Keywords: finančni trg, trg kapitala, kapital, investicije, vedenjske finance, psihologija, opcije, strategija, donos, stroški, tveganje, financial market, capital market, capital, investments, behavioral finance, psychology, options, strategy, yield, costs, risk Full text (outside link) |
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308. Zlato in njegovi učinki na tveganost in donosnost portfeljaŠpela Poljak, 2017, master's thesis Keywords: trg kapitala, portfolio, investicije, zlato, cena, vrednost, tveganje, raziskave, analiza Full text (outside link) |
309. Vpliv makroekonomskih dejavnikov na donosnost avstralskega delniškega trgaGregor Marc, 2016, master's thesis Keywords: Avstralija, finančni trg, trg kapitala, efektivnost, makroekonomija, denarni trg, inflacija, devizni tečaji, donosnost kapitala, časovne vrste, raziskave, modeli, analiza Full text (outside link) |
310. Oblikovanje optimalnega portfelja dolžniških vrednostnih papirjev v obdobju nizkih obrestnih merVera Žibert, 2015, master's thesis Keywords: trg kapitala, vrednostni papirji, obveznice, investicije, donos, tveganje, obvladovanje tveganj, portfolio, strategija, obrestna mera Full text (outside link) |