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Original title:
The alternative model of portfolio management
Translated title:
Alternativní model managementu portfolia
Authors:
Vojtek, Martin
Document type:
Research reports
Year:
2005
Language:
eng
Series:
CERGE-EI discussion paper series
, volume: 2005 - 141
Abstract:
[eng]
[cze]
The objective of this work is to propose a new, alternative model of portfolio management.
Cílem práce je navrhnout nový alternativní model managementu portfolia.
Keywords:
financial markets
;
linear programming
;
portfolio management
;
lineární programování
Project no.:
GA402/05/0931
(
CEP
),
CEZ:AV0Z70850503
(
CEP
)
Funding provider:
GA ČR
Institution:
Economics Institute AS ČR (
web
)
Document availability information:
Fulltext is available at the institute of the Academy of Sciences.
Original record:
http://hdl.handle.net/11104/0115574
Permalink:
http://www.nusl.cz/ntk/nusl-32755
The record appears in these collections:
Research
>
Institutes ASCR
>
Economics Institute
Reports
>
Research reports
Record created 2011-07-01, last modified 2021-11-24
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