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The Credit Risk in a Stock Portfolio: A Method to Evaluate the Credit Risk from the Perspective of an Investor
Umeå University, Faculty of Social Sciences, Umeå School of Business and Economics (USBE), Economics.
2014 (English)Independent thesis Advanced level (professional degree), 20 credits / 30 HE creditsStudent thesis
Place, publisher, year, edition, pages
2014. , 32 p.
National Category
Economics
Identifiers
URN: urn:nbn:se:umu:diva-91777OAI: oai:DiVA.org:umu-91777DiVA: diva2:738023
Subject / course
Degree Project in Economics
Educational program
Study Programme in Business Administration and Economics
Available from: 2014-08-15 Created: 2014-08-15

Open Access in DiVA

The Credit Risk in a Stock Portfolio(1077 kB)442 downloads
File information
File name FULLTEXT01.pdfFile size 1077 kBChecksum SHA-512
874388a8ae2d3b3d62a3096bada44c227378045474e6371e7aa976c91f770437a4d1de779a42b5bf3ff858928ad8357a832b655d65ff8ca2261aa278d0419329
Type fulltextMimetype application/pdf

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CiteExportLink to record
Permanent link

Direct link
Cite
Citation style
  • apa
  • ieee
  • modern-language-association-8th-edition
  • vancouver
  • Other style
More styles
Language
  • de-DE
  • en-GB
  • en-US
  • fi-FI
  • nn-NO
  • nn-NB
  • sv-SE
  • Other locale
More languages
Output format
  • html
  • text
  • asciidoc
  • rtf