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Browsing by Subject Bond market
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Showing results 1 to 6 of 6
Issue Date
Title
Author(s)
2015
Analysis of risk parity approach for sovereign fixed-income portfolios in Eurozone countries
Cassar, Noel
2016
Analysis of risk parity approach for sovereign fixed-income portfolios in Eurozone countries
Cassar, Noel
;
Grima, Simon
2015
An analysis on the duration risk and its sensitivity on the local bond market
Gauci, Kimberley
2015
Liquidity in the Maltese bond market
Bellia, Sean
2008
A statistical analysis of bonds policy holder preferences using generalized linear models and two stage segmentation procedure
Dimech, Ingrid (2008)
2021
Volatility forecasting model : a risk reduction tool for asset managers
Bugeja, Ylenia (2021)