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Can investment in microfinance funds improve risk-return characteristics of a portfolio?

dc.contributor.authorJanda, Karel
dc.contributor.authorRausser, Gordon
dc.contributor.authorSvarovska, Barbora
dc.date.accessioned2015-12-08T22:22:03Z
dc.date.available2015-12-08T22:22:03Z
dc.identifier.issn1392-8619
dc.identifier.urihttp://hdl.handle.net/1885/32392
dc.publisherVilnius Gediminas Technical University
dc.sourceTechnological and Economic Development of Economy
dc.titleCan investment in microfinance funds improve risk-return characteristics of a portfolio?
dc.typeJournal article
local.description.notesImported from ARIES
local.identifier.citationvolume20
dc.date.issued2014
local.identifier.absfor140207 - Financial Economics
local.identifier.absfor150205 - Investment and Risk Management
local.identifier.ariespublicationU5511365xPUB91
local.type.statusPublished Version
local.contributor.affiliationJanda, Karel, College of Arts and Social Sciences, ANU
local.contributor.affiliationRausser, Gordon, University of California
local.contributor.affiliationSvarovska, Barbora, Charles University
local.bibliographicCitation.issue4
local.bibliographicCitation.startpage673
local.bibliographicCitation.lastpage695
local.identifier.doi10.3846/20294913.2014.869514
local.identifier.absseo910108 - Monetary Policy
local.identifier.absseo910109 - Savings and Investments
dc.date.updated2016-06-14T09:15:03Z
local.identifier.scopusID2-s2.0-84893011461
CollectionsANU Research Publications

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