Mutual fund risk-taking behavior: volatility changes as a function of past performance
dc.contributor | Aalto-yliopisto | fi |
dc.contributor | Aalto University | en |
dc.contributor.author | Koivulintu, Jukka | |
dc.contributor.department | HKKK. Lask. Pro gradu | fi |
dc.contributor.school | Kauppakorkeakoulu | fi |
dc.contributor.school | School of Business | en |
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.identifier.urn | URN:NBN:fi:aalto-2020111715016 | |
dc.language.iso | en | en |
dc.programme.major | Rahoitus | fi |
dc.rights.accesslevel | closedAccess | |
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.title | Mutual fund risk-taking behavior: volatility changes as a function of past performance | en |
dc.type.okm | G2 Pro gradu, diplomityö | |
dc.type.ontasot | Master's thesis | en |
dc.type.ontasot | Pro gradu -tutkielma | fi |
dc.type.publication | masterThesis | |
local.aalto.digiauth | ask | |
local.aalto.digifolder | Aalto_48271 | |
local.aalto.idthes | 8657 | |
local.aalto.openaccess | no |