Browsing by Subject Risk-return relationships
Showing results 1 to 5 of 5
Issue Date | Title | Author(s) |
2006 | Government bonds, corporate debentures : a risk-return analysis with reference to the bond market in Malta | La Ferla, Karl (2006) |
2019-10 | Investment decision; information driven and preference ordering | Obeng, George |
2014 | Looking for synergy with momentum in main asset classes | Macijauskas, Lukas; Maditinos, Dimitrios |
2012 | Portfolio diversification in extreme environments : are there benefits from adding commodity futures indices? | Batavia, Bala; Parameswar, Nandakumar; Wague, Cheick |
2012 | The problem of determining the energy mix : from the portfolio theory to the reality of energy planning in the Spanish case | de Llano Paz, Fernando; Silvosa, Anxo Calvo; Garcia, Martin Portos |