Full metadata record
DC Field | Value | Language |
---|---|---|
dc.contributor.author | Meier, Peter | - |
dc.contributor.author | Takushi, Christian | - |
dc.date.accessioned | 2019-04-04T12:59:38Z | - |
dc.date.available | 2019-04-04T12:59:38Z | - |
dc.date.issued | 1992 | - |
dc.identifier.issn | 1934-4554 | de_CH |
dc.identifier.uri | https://fmpm.ch/fmpm/article-archive-1986-2000/ | de_CH |
dc.identifier.uri | https://digitalcollection.zhaw.ch/handle/11475/16479 | - |
dc.language.iso | de | de_CH |
dc.publisher | Springer | de_CH |
dc.relation.ispartof | Financial Markets and Portfolio Management | de_CH |
dc.rights | Licence according to publishing contract | de_CH |
dc.subject.ddc | 332: Finanzwirtschaft | de_CH |
dc.title | Asset Allocation mit prognostizierten Renditen und Risikomassen | de_CH |
dc.type | Beitrag in wissenschaftlicher Zeitschrift | de_CH |
dcterms.type | Text | de_CH |
zhaw.departement | School of Management and Law | de_CH |
zhaw.funding.eu | No | de_CH |
zhaw.issue | 4 | de_CH |
zhaw.originated.zhaw | No | de_CH |
zhaw.pages.end | 428 | de_CH |
zhaw.pages.start | 414 | de_CH |
zhaw.publication.status | publishedVersion | de_CH |
zhaw.volume | 6 | de_CH |
zhaw.publication.review | Peer review (Publikation) | de_CH |
Appears in collections: | Publikationen School of Management and Law |
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Meier, P., & Takushi, C. (1992). Asset Allocation mit prognostizierten Renditen und Risikomassen. Financial Markets and Portfolio Management, 6(4), 414–428. https://fmpm.ch/fmpm/article-archive-1986-2000/
Meier, P. and Takushi, C. (1992) ‘Asset Allocation mit prognostizierten Renditen und Risikomassen’, Financial Markets and Portfolio Management, 6(4), pp. 414–428. Available at: https://fmpm.ch/fmpm/article-archive-1986-2000/.
P. Meier and C. Takushi, “Asset Allocation mit prognostizierten Renditen und Risikomassen,” Financial Markets and Portfolio Management, vol. 6, no. 4, pp. 414–428, 1992, [Online]. Available: https://fmpm.ch/fmpm/article-archive-1986-2000/
MEIER, Peter und Christian TAKUSHI, 1992. Asset Allocation mit prognostizierten Renditen und Risikomassen. Financial Markets and Portfolio Management [online]. 1992. Bd. 6, Nr. 4, S. 414–428. Verfügbar unter: https://fmpm.ch/fmpm/article-archive-1986-2000/
Meier, Peter, and Christian Takushi. 1992. “Asset Allocation mit prognostizierten Renditen und Risikomassen.” Financial Markets and Portfolio Management 6 (4): 414–28. https://fmpm.ch/fmpm/article-archive-1986-2000/.
Meier, Peter, and Christian Takushi. “Asset Allocation mit prognostizierten Renditen und Risikomassen.” Financial Markets and Portfolio Management, vol. 6, no. 4, 1992, pp. 414–28, https://fmpm.ch/fmpm/article-archive-1986-2000/.
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