ExLibris header image
 

SFX by Ex Libris Inc.

Contains information about title and source of a journal
Naslov: Portfolio Sensitivity Model for Analyzing Credit Risk Caused by Structural and Macroeconomic Changes
Vir:

Financial Theory and Practice Klepac, Goran l. 2008, letn. 32, št. 4, stran 461 -476

List of services to meet your request

Contains list of services for current record

Basic services

Celotno besedilo ni dostopno!


service type icon, opens target in new window

Zaloga po knjižnicah


service type icon, opens target in new window


© 2024 SFX by Ex Libris Inc. | Politika piškotkov
CrossRef Omogočeno