HORVÁTOVÁ, Eva a Jan HORVÁT. The Structure of banks' assets in terms of portfolio theory and bank capital regulation. In ESF, Masarykova univerzita v Brne. European financial systems 2017: proceedings of the 14th international scientific conference. Brno: ESF, Masarykova univerzita v Brne, 2017, s. 236-242. ISBN 978-80-210-8609-8. |
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@inproceedings{1389207, author = {Horvátová, Eva and Horvát, Jan}, address = {Brno}, booktitle = {European financial systems 2017: proceedings of the 14th international scientific conference}, editor = {ESF, Masarykova univerzita v Brne}, keywords = {Markowitz Modern Portfolio Theory Gap Analysis}, howpublished = {tištěná verze "print"}, language = {eng}, location = {Brno}, isbn = {978-80-210-8609-8}, pages = {236-242}, publisher = {ESF, Masarykova univerzita v Brne}, title = {The Structure of banks' assets in terms of portfolio theory and bank capital regulation.}, year = {2017} }
TY - JOUR ID - 1389207 AU - Horvátová, Eva - Horvát, Jan PY - 2017 TI - The Structure of banks' assets in terms of portfolio theory and bank capital regulation. PB - ESF, Masarykova univerzita v Brne CY - Brno SN - 9788021086098 KW - Markowitz Modern Portfolio Theory Gap Analysis N2 - Srovnání doporučení pro výběr vhodných aktiv do portfolia bank na základě moderní Markowitzovy teorie portfolia a na základě Gapové analýzy. ER -
HORVÁTOVÁ, Eva a Jan HORVÁT. The Structure of banks' assets in terms of portfolio theory and bank capital regulation. In ESF, Masarykova univerzita v Brne. \textit{European financial systems 2017: proceedings of the 14th international scientific conference}. Brno: ESF, Masarykova univerzita v Brne, 2017, s.~236-242. ISBN~978-80-210-8609-8.
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