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Note to “Rates of Return on Open-End Debt Investment Funds and Bank Deposits in Poland in the years 1995–2015 – A Comparative Analysis” Folia Oeconomica Stetinensia 16 (1), (2016), 93–112 Cover

Note to “Rates of Return on Open-End Debt Investment Funds and Bank Deposits in Poland in the years 1995–2015 – A Comparative Analysis” Folia Oeconomica Stetinensia 16 (1), (2016), 93–112

Open Access
|Apr 2017

References

  1. Dittmann, I. (2016). Rates of return on open-end debt investment funds and bank deposits in Poland in the years 1995–2015 – a comparative analysis. Folia Oeconomica Stetinensia, 16 (1), 93–112. DOI: 10.1515/foli-2016-0007.10.1515/foli-2016-0007
  2. Janssen, J., Manca, R., Volpe di Prignano, E. (2009). Mathematical Finance. Deterministic and Stochastic Model. London: John Wiley & Sons.10.1002/9780470611692
  3. Jajuga, K., Jajuga, T. (2014). Inwestycje: instrumenty finansowe, aktywa niefinansowe, ryzyko finansowe, inżynieria finansowa. Warszawa: Wydawnictwo Naukowe PWN.
  4. Piasecki, K., Ronka-Chmielowiec, W. (2011). Matematyka finansowa. Warszawa: C.H. Beck.
DOI: https://doi.org/10.1515/foli-2016-0038 | Journal eISSN: 1898-0198 | Journal ISSN: 1730-4237
Language: English
Page range: 250 - 254
Submitted on: Dec 31, 2016
Accepted on: Dec 31, 2016
Published on: Apr 4, 2017
Published by: University of Szczecin
In partnership with: Paradigm Publishing Services
Publication frequency: 2 issues per year

© 2017 Krzysztof Piasecki, published by University of Szczecin
This work is licensed under the Creative Commons Attribution-NonCommercial-NoDerivatives 3.0 License.