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1 Ergebnisse
1
"The Global Multi-Asset Market Portfolio, 1959–2012": Autho..:
Doeswijk, Ronald
;
Lam, Trevin
;
Swinkels, Laurens
Financial Analysts Journal. 70 (2014) 4 - p. 9-12 , 2014
Link:
https://www.jstor.org/stable/24586224
RT Journal T1
"The Global Multi-Asset Market Portfolio, 1959–2012": Author Response
UL https://suche.suub.uni-bremen.de/peid=jstor-24586224&Exemplar=1&LAN=DE A1 Doeswijk, Ronald A1 Lam, Trevin A1 Swinkels, Laurens PB CFA Institute YR 2014 SN 0015-198X K1 Economics K1 Economic disciplines K1 Financial economics K1 Finance K1 Financial instruments K1 Financial securities K1 Financial bonds K1 Government bonds K1 Banking K1 Banks K1 Central banks K1 Bank management K1 Bank assets K1 Behavioral sciences K1 Behavioral economics K1 Behavioral finance K1 Financial incentives K1 Tax incentives K1 Investment credit K1 Credit K1 Bank credit K1 Financial investments K1 Financial portfolios K1 Market portfolios K1 Economic policy K1 Monetary policy K1 Exchange rate regimes K1 Monetary unions K1 Eurosystem K1 European Central Bank K1 Central banking K1 Federal Reserve System K1 Federal Reserve Bank K1 Business K1 Business administration K1 Business management K1 Capital management K1 Capital investments K1 Macroeconomics K1 Money K1 Fiat money K1 Federal Reserve notes JF Financial Analysts Journal VO 70 IS 4 SP 9 OP 12 LK http://dx.doi.org/https://www.jstor.org/stable/24586224 DO https://www.jstor.org/stable/24586224 SF ELIB - SuUB Bremen
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