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Intra and Inter Sectoral Risk Spread and Portfolio Risk Management: Case of S&P 500 Cover

Intra and Inter Sectoral Risk Spread and Portfolio Risk Management: Case of S&P 500

Open Access
|Aug 2024

Authors

Anca-Adriana Saraolu Ionascuti

PhD Student, Doctoral School of Economics and Business Administration, West University of Timisoara, Romania
Language: English
Page range: 141 - 158
Published on: Aug 9, 2024
Published by: West University of Timisoara
In partnership with: Paradigm Publishing Services
Publication frequency: 2 issues per year

© 2024 Anca-Adriana Saraolu Ionascuti, published by West University of Timisoara
This work is licensed under the Creative Commons Attribution-NonCommercial-NoDerivatives 3.0 License.