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Primena regresione analize finansijskih vremenskih serija u upravljanju portfolio rizicima
| Title: | Primena regresione analize finansijskih vremenskih serija u upravljanju portfolio rizicima Application of the Regression Analysis of Financial Time Series in Portfolio Risk Management |
Authors: | Njegić, Jovan | Supervisor: | Đorđević, Vera | Issue Date: | 2014 | Publication: | Универзитет у Нишу | Publisher: | Универзитет у Нишу, Економски факултет | Type: | Doctoral theses | URI: | https://nardus.mpn.gov.rs/handle/123456789/3881 http://eteze.ni.ac.rs/application/showtheses?thesesId=1759 https://fedorani.ni.ac.rs/fedora/get/o:958/bdef:Content/download http://vbs.rs/scripts/cobiss?command=DISPLAY&base=70052&RID=533658262 https://enauka.gov.rs/handle/123456789/360601 |
M-category: | 70M70 |