Diversifying Risks in Bond Portfolio: A Cross-border Approach.

dc.contributor國立臺灣師範大學管理研究所zh_TW
dc.contributor.author蔡蒔銓zh_TW
dc.date.accessioned2016-03-22T06:51:44Z
dc.date.available2016-03-22T06:51:44Z
dc.date.issued2013-10-09
dc.identifierntnulib_tp_I0107_02_013
dc.identifier.urihttp://rportal.lib.ntnu.edu.tw/handle/20.500.12235/77071
dc.languageen_US
dc.relationThe 21th Conference on the Theories and Practices of Securities and Financial Markets (SFM) 2013, Kaohsiung, Taiwan.en_US
dc.titleDiversifying Risks in Bond Portfolio: A Cross-border Approach.en_US

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