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

dc.contributorAalto-yliopistofi
dc.contributorAalto Universityen
dc.contributor.authorKoivulintu, Jukka
dc.contributor.departmentHKKK. Lask. Pro gradufi
dc.contributor.schoolKauppakorkeakoulufi
dc.contributor.schoolSchool of Businessen
dc.date.accessioned2020-11-17T13:22:15Z
dc.date.available2020-11-17T13:22:15Z
dc.date.issued2002
dc.identifier.urihttps://aaltodoc.aalto.fi/handle/123456789/56163
dc.identifier.urnURN:NBN:fi:aalto-2020111715016
dc.language.isoenen
dc.programme.majorRahoitusfi
dc.rights.accesslevelclosedAccess
dc.subject.keywordOsakemarkkinatfi
dc.subject.keywordSijoitusrahastotfi
dc.subject.keywordRiskifi
dc.subject.keywordKurssivaihtelutfi
dc.subject.keywordSijoituksetfi
dc.subject.keywordPäätöksentekofi
dc.titleMutual fund risk-taking behavior: volatility changes as a function of past performanceen
dc.type.okmG2 Pro gradu, diplomityö
dc.type.ontasotMaster's thesisen
dc.type.ontasotPro gradu -tutkielmafi
dc.type.publicationmasterThesis
local.aalto.digiauthask
local.aalto.digifolderAalto_48271
local.aalto.idthes8657
local.aalto.openaccessno
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