The optimal portfolio selection of euro-denominated investment grade corporate bonds - Evidence from European corporate bond market 1999-2003
No Thumbnail Available
URL
Journal Title
Journal ISSN
Volume Title
School of Business |
Master's thesis
Checking the digitized thesis and permission for publishing
Instructions for the author
Instructions for the author
Authors
Date
2005
Major/Subject
Finance
Mcode
Degree programme
Language
en
Pages
Series
Description
Keywords
Rahoitus, Rahoitusmarkkinat, Portfolio, Riskienhallinta