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銀行資産選好モデルとアヴェイラビリティ理論: 貸付けと政府証券との間の資産配分 = Models of Bank Asset Preference and the Availability Doctrine: Portfolio Allocation between Loan and Government Security

Kenji Urushizaki

商学討究 (Shogaku Tokyu), 1968, vol. 18, issue 4, 1-25

Date: 1968
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