The portfolio selection problem under capital market integration of European and emerging capital markets: "an empirical analysis."
Main Author: | Kayacan, Murad |
---|---|
Corporate Author: | Sermaye Piyasası Kurulu |
Other Authors: | Tüzünalper, S. Ozan |
Format: | Book |
Published: |
Ankara:
Sermaye Piyasası Kurulu,
Kasım 2003.
|
Series: | SPK. yayın no.144
|
Subjects: |
Similar Items
-
Asymmetric volatility clustering, risk-return relationship and day of the week effects: evidence from nineteen stock market. Ercan Balaban, Aslı Bayar, Özgür Berk Kan.
by: Balaban, Ercan
Published: (1999) -
Dünyada borsa şirketleşmeleri, satın alma ve birleşmeleri / Editör: Ekin Fıkırkoca; Haz. : Alparslan Budak, Özcan Çikot.
Published: (2011) -
Seminer: Açış-Tebliğ-Panel. (Derl.): Ahmet İncekara.
Published: (1997) -
Risk-return-volume relationship in an emerging stock market.
by: Salman, Ferhan
Published: (1999) -
Süre temelli portföyler ve İMKB'nda uygulanabilirliği.
by: Gökbel, Serbil Altınırmak
Published: (2003)