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Ticari Bankalarda Riske Maruz Değer (Value At Risk) Yöntemi İle Ölçümlenen Piyasa Riskinin Banka Stratejilerine Katkısı

K. Evren Bolgün
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K. Evren Bolgün: Marmara Üniversitesi

Iktisat Isletme ve Finans, 2002, vol. 17, issue 191, 54-67

Date: 2002
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