Portfolio behaviour of financial institutions

an empirical study with implications for monetary policy, interest-rate determination and financial model-building.

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Last edited by ImportBot
May 9, 2021 | History

Portfolio behaviour of financial institutions

an empirical study with implications for monetary policy, interest-rate determination and financial model-building.

  • 0 Ratings
  • 1 Want to read
  • 0 Currently reading
  • 0 Have read

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Publish Date
Language
English
Pages
142

Buy this book

Previews available in: English

Book Details


Edition Notes

Series
Holt, Rinehart and Winston series in finance

Classifications

Dewey Decimal Class
332.6
Library of Congress
HG181 .S47

The Physical Object

Pagination
142p.,24cm
Number of pages
142

ID Numbers

Open Library
OL20942698M
Internet Archive
portfoliobehavio0000unse
ISBN 10
0030828171
LCCN
70094893
OCLC/WorldCat
58495
Goodreads
2516814

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History

Download catalog record: RDF / JSON
May 9, 2021 Edited by ImportBot import existing book
October 4, 2020 Edited by MARC Bot import existing book
December 10, 2009 Created by WorkBot add works page