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master's thesis
Portfolio Investment Risk Calculation Using Beta Coefficient and VaR Method

Dejana Đanković (2017)
University of Rijeka
Faculty of Tourism and Hospitality Management
Cite this document

Đanković, D. (2017). Izračun rizika ulaganja u portfelj pomoću beta koeficijenta i VaR metode (Master's thesis). Retrieved from https://urn.nsk.hr/urn:nbn:hr:191:376991

Đanković, Dejana. "Izračun rizika ulaganja u portfelj pomoću beta koeficijenta i VaR metode." Master's thesis, University of Rijeka, Faculty of Tourism and Hospitality Management, 2017. https://urn.nsk.hr/urn:nbn:hr:191:376991

Đanković, Dejana. "Izračun rizika ulaganja u portfelj pomoću beta koeficijenta i VaR metode." Master's thesis, University of Rijeka, Faculty of Tourism and Hospitality Management, 2017. https://urn.nsk.hr/urn:nbn:hr:191:376991

Đanković, D. (2017). 'Izračun rizika ulaganja u portfelj pomoću beta koeficijenta i VaR metode', Master's thesis, University of Rijeka, Faculty of Tourism and Hospitality Management, accessed 20 October 2019, https://urn.nsk.hr/urn:nbn:hr:191:376991

Đanković D. Izračun rizika ulaganja u portfelj pomoću beta koeficijenta i VaR metode [Master's thesis]. Opatija: University of Rijeka, Faculty of Tourism and Hospitality Management; 2017 [cited 2019 October 20] Available at: https://urn.nsk.hr/urn:nbn:hr:191:376991

D. Đanković, "Izračun rizika ulaganja u portfelj pomoću beta koeficijenta i VaR metode", Master's thesis, University of Rijeka, Faculty of Tourism and Hospitality Management, Opatija, 2017. Available at: https://urn.nsk.hr/urn:nbn:hr:191:376991