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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) |
3. Momentum effect in frontier capital marketsNejc Orel, 2013, magistrsko delo Ključne besede: 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 Celotno besedilo (povezava drugam) |
4. The importance and the regulation of the counterparty riskAndreja Krč Grčar, 2016, magistrsko delo Ključne besede: financial market, capital market, institutions, financial instruments, risk management, derivatives, credit, credit rating, reliability, regulation Celotno besedilo (povezava drugam) |
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6. 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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