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1. 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 |
2. Liquidity risk management in banks in the Republic of North Macedonia Kristina Pulovska, 2022, master's thesis Keywords: North Macedonia, banking, banking systems, liquidity, risk, regulation, international comparisons, EU |