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74. Povezava med obliko krivulje donosnosti in donosnostjo tveganih naložbVasja Jermol, 2014, master's thesis Keywords: gospodarska gibanja, cikli, recesije, ekonomska rast, donos, teorija, regresijske analize, modeli, case study, ZDA Full text (outside link) |
75. Dejavniki tveganja nesolventnosti slovenskih bankUrška Sila, 2014, master's thesis Keywords: Slovenija, bančni sistemi, bančništvo, banke, bančno poslovanje, solventnost, tveganje, raziskave, analiza Full text (outside link) |
76. Leverage determinants of listed non-financial companies in the major European Monetary Union economiesMoritz Benjamin Dufner, 2014, master's thesis Keywords: EU, EMU, finance, krize, dolgovi, podjetje, delnice, kapital, struktura, analiza, EU, EMU, finance, crises, debts, enterprises, shares, capital, structure, analysis Full text (outside link) |
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79. Does liquidity risk explain the excess returns of the minimum volatility investing strategy?Goran Obradović, 2016, master's thesis Keywords: capital market, investments, risk management, portfolio, evaluation, liquidity, yield, data, analysis Full text (outside link) |
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