Risk reduction by diversification in the Nordic stock markets
Year of publication: |
1992
|
---|---|
Authors: | Haavisto, Tarmo |
Other Persons: | Hansson, Björn A. (contributor) |
Published in: |
The Scandinavian journal of economics. - Oxford : Wiley, ISSN 0347-0520, ZDB-ID 8170-X. - Vol. 94.1992, 4, p. 581-588
|
Subject: | Kapitalanlage | Financial investment | Portfolio-Management | Portfolio selection | Kapitalmobilität | Capital mobility | Nordeuropa | Northern Europe |
-
Risk reduction by diversification in the Nordic stock markets
Haavisto, Tarmo, (1991)
-
The benefits from international diversification for Nordic investors
Liljeblom, Eva, (1995)
-
Incompatible European partners? : cultural predispositions and household financial behavior
Chaliasos, Michaēl, (2015)
- More ...
-
Risk reduction by diversification in the Nordic stock markets
Haavisto, Tarmo, (1991)
-
The efficient frontier without short sales
Haavisto, Tarmo, (1991)
-
Off gold and back again : Finnish and Swedish monetary policies 1914 - 25
Haavisto, Tarmo, (1994)
- More ...