L’asset&liability management nelle banche: un’analisi mediante le correlazioni canoniche
Zanfagna, Stefania (A.A. 2014/2015) L’asset&liability management nelle banche: un’analisi mediante le correlazioni canoniche. Tesi di Laurea in Economia e gestione degli intermediari finanziari (corso progredito), LUISS Guido Carli, relatore Domenico Curcio, pp. 118. [Master's Degree Thesis]
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Abstract/Index
L’asset&liability management. L’analisi delle correlazioni canoniche. Un’analisi empirica di asset&liability management mediante le correlazioni canoniche.
References
Bibliografia: pp. 114-118.
Thesis Type: | Master's Degree Thesis |
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Institution: | LUISS Guido Carli |
Degree Program: | Master's Degree Programs > Master's Degree Program in Economics and Finance (LM-56) |
Chair: | Economia e gestione degli intermediari finanziari (corso progredito) |
Thesis Supervisor: | Curcio, Domenico |
Thesis Co-Supervisor: | Nucera, Federico Calogero |
Academic Year: | 2014/2015 |
Session: | Extraordinary |
Deposited by: | Alessandro Perfetti |
Date Deposited: | 23 Jun 2016 10:40 |
Last Modified: | 03 Aug 2018 08:46 |
URI: | https://tesi.luiss.it/id/eprint/16440 |
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