- Risk-Return Portfolio Level Trade-Off for Czech Banks
Number of the records: 1  

Risk-Return Portfolio Level Trade-Off for Czech Banks

  1. JANKULÁR, Pavel. Risk-Return Portfolio Level Trade-Off for Czech Banks. In Prague Economic Papers : a Bimonthly Journal of Economic Theory and Policy. - Prague : University of Economics, 2024. ISSN 2336-730X, 2024, vol. 33, no. 2, s. 187-219.
Number of the records: 1  

  This site uses cookies to make them easier to browse. Learn more about how we use cookies.