1. Influence of country risk on valuation with focus on Mercator GroupIvan Antonijević, 2009, magistrsko delo Ključne besede: Slovenija, deželno tveganje, konkurenčnost, trgovinsko podjetje, Mercator Group, vrednotenje, ocene, Slovenia, country risk, competitivity, commercial enterprise, Mercator Group, valuation, evaluation Celotno besedilo (povezava drugam) |
2. Passive investment strategiesBlaž Žličar, 2011, magistrsko delo Ključne besede: trg kapitala, investicije, strategija, portfolio, indeksi, tveganje, donos, ocene, metode, analiza, capital market, investments, strategy, portfolio, indexes, risk, yield, evaluation, methods, analysis Celotno besedilo (povezava drugam) |
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4. Does liquidity risk explain the excess returns of the minimum volatility investing strategy?Goran Obradović, 2016, magistrsko delo Ključne besede: capital market, investments, risk management, portfolio, evaluation, liquidity, yield, data, analysis Celotno besedilo (povezava drugam) |
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