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dc.contributor.advisorErol, Umit
dc.contributor.authorUysal, Erkan
dc.date.accessioned2016-01-08T20:09:03Z
dc.date.available2016-01-08T20:09:03Z
dc.date.issued1990
dc.identifier.urihttp://hdl.handle.net/11693/17303
dc.descriptionAnkara : The Department of Management and the Graduate School of Business Administration of Bilkent Univ., 1990.en_US
dc.descriptionThesis (Master's) -- Bilkent University, 1990.en_US
dc.descriptionIncludes bibliographical references leaves 55-58.en_US
dc.description.statementofresponsibilityUysal, Erkanen_US
dc.format.extentvi, 87 leavesen_US
dc.language.isoEnglishen_US
dc.rightsinfo:eu-repo/semantics/openAccessen_US
dc.subject.lccHG4529.5 .U97 1990en_US
dc.subject.lcshPortfolio management--Turkey.en_US
dc.subject.lcshInvestment analysis.en_US
dc.subject.lcshStocks--Turkey.en_US
dc.subject.lcshInvestments--Turkey.en_US
dc.subject.lcshFinance--Turkey.en_US
dc.subject.lcshVariables (Mathematics).en_US
dc.titleThe relationship between market determined risk measures and financial variablesen_US
dc.typeThesisen_US
dc.departmentDepartment of Managementen_US
dc.publisherBilkent Universityen_US
dc.description.degreeM.S.en_US


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