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1 Ergebnisse
1
Is Complete Hedging Optimal for International Bond Portfoli..:
Victor S. Filatov
;
Rappoport, Peter
Financial Analysts Journal. 48 (1992) 4 - p. 37-47 , 1992
Link:
https://www.jstor.org/stable/4479559
RT Journal T1
Is Complete Hedging Optimal for International Bond Portfolios?
UL https://suche.suub.uni-bremen.de/peid=jstor-4479559&Exemplar=1&LAN=DE A1 Victor S. Filatov A1 Rappoport, Peter PB The Association for Investment Management and Research YR 1992 SN 0015-198X K1 Economics K1 Economic disciplines K1 Financial economics K1 Finance K1 Financial investments K1 Financial portfolios K1 Investors K1 Investment strategies K1 Hedging K1 Business K1 Accountancy K1 Financial accounting K1 Assets K1 Foreign assets K1 Portfolio diversification K1 Financial management K1 Financial risk K1 Investment risk K1 Macroeconomics K1 Money K1 Currency K1 Asset management K1 Mathematics K1 Applied mathematics K1 Statistics K1 Applied statistics K1 Descriptive statistics K1 Statistical distributions K1 Normal distribution curve K1 Standard deviation K1 Measures of variability K1 Multivariate statistical analysis K1 Covariance JF Financial Analysts Journal VO 48 IS 4 SP 37 OP 47 LK http://dx.doi.org/https://www.jstor.org/stable/4479559 DO https://www.jstor.org/stable/4479559 SF ELIB - SuUB Bremen
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