master's thesis
Izrada optimalnog portfelja uz rizik modeliran VaR-om

Gomerčić, Filip
University of Zagreb
Faculty of Science
Department of Mathematics

Cite this document

Gomerčić, F. (2024). Izrada optimalnog portfelja uz rizik modeliran VaR-om (Master's thesis). Zagreb: University of Zagreb, Faculty of Science. Retrieved from https://urn.nsk.hr/urn:nbn:hr:217:550500

Gomerčić, Filip. "Izrada optimalnog portfelja uz rizik modeliran VaR-om." Master's thesis, University of Zagreb, Faculty of Science, 2024. https://urn.nsk.hr/urn:nbn:hr:217:550500

Gomerčić, Filip. "Izrada optimalnog portfelja uz rizik modeliran VaR-om." Master's thesis, University of Zagreb, Faculty of Science, 2024. https://urn.nsk.hr/urn:nbn:hr:217:550500

Gomerčić, F. (2024). 'Izrada optimalnog portfelja uz rizik modeliran VaR-om', Master's thesis, University of Zagreb, Faculty of Science, accessed 14 April 2024, https://urn.nsk.hr/urn:nbn:hr:217:550500

Gomerčić F. Izrada optimalnog portfelja uz rizik modeliran VaR-om [Master's thesis]. Zagreb: University of Zagreb, Faculty of Science; 2024 [cited 2024 April 14] Available at: https://urn.nsk.hr/urn:nbn:hr:217:550500

F. Gomerčić, "Izrada optimalnog portfelja uz rizik modeliran VaR-om", Master's thesis, University of Zagreb, Faculty of Science, Zagreb, 2024. Available at: https://urn.nsk.hr/urn:nbn:hr:217:550500

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