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Mutual fund risk-taking behavior: volatility changes as a function of past performance

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dc.contributor Aalto-yliopisto fi
dc.contributor Aalto University en
dc.contributor.author Koivulintu, Jukka
dc.date.accessioned 2020-11-17T13:22:15Z
dc.date.available 2020-11-17T13:22:15Z
dc.date.issued 2002
dc.identifier.uri https://aaltodoc.aalto.fi/handle/123456789/56163
dc.language.iso en en
dc.title Mutual fund risk-taking behavior: volatility changes as a function of past performance en
dc.contributor.school Kauppakorkeakoulu fi
dc.contributor.school School of Business en
dc.contributor.department HKKK. Lask. Pro gradu fi
dc.subject.keyword Osakemarkkinat fi
dc.subject.keyword Sijoitusrahastot fi
dc.subject.keyword Riski fi
dc.subject.keyword Kurssivaihtelut fi
dc.subject.keyword Sijoitukset fi
dc.subject.keyword Päätöksenteko fi
dc.identifier.urn URN:NBN:fi:aalto-2020111715016
dc.programme.major Rahoitus fi
dc.type.ontasot Master's thesis en
dc.type.ontasot Pro gradu -tutkielma fi
local.aalto.openaccess no
local.aalto.digifolder Aalto_48271
dc.rights.accesslevel closedAccess
dc.type.publication masterThesis
dc.type.okm G2 Pro gradu, diplomityö
local.aalto.idthes 8657
local.aalto.digiauth ask


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