Risk management model within an alternative investment fund (AIF) : SIF Moldova case study
Year of publication: |
2016
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Authors: | Ciocea, Costel |
Published in: |
Studies and scientific researches / Faculty of Economic Sciences, Centre for Economic Studies and Research, "Vasile Alecsandri University of Bacau". - Bacau : [Verlag nicht ermittelbar], ISSN 2344-1321, ZDB-ID 2733245-7. - Vol. 24.2016, p. 29-35
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Subject: | management | risk | capital | investment | assets | prudential indicators | EU legislation | Risikomanagement | Risk management | Investmentfonds | Investment Fund | Moldawien | Moldova | Portfolio-Management | Portfolio selection |
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