Filtros : "SIMULAÇÃO (ESTATÍSTICA)" "Canadá" Removido: "Model Assisted Statistics and Applications" Limpar


  • Fonte: International Journal of Economics and Finance. Unidade: FEARP

    Assuntos: MERCADO FINANCEIRO, ADMINISTRAÇÃO DE RISCO, SIMULAÇÃO (ESTATÍSTICA), PORTFÓLIOS

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    • ABNT

      FEIJÓ, Ricardo Luís Chaves. Investment strategy in Brazil's financial market: wide possibilities of choice between risk and return. International Journal of Economics and Finance, v. 12, n. 8, p. 40-51, 2020Tradução . . Disponível em: https://doi.org/10.5539/ijef.v12n8p40. Acesso em: 27 nov. 2025.
    • APA

      Feijó, R. L. C. (2020). Investment strategy in Brazil's financial market: wide possibilities of choice between risk and return. International Journal of Economics and Finance, 12( 8), 40-51. doi:10.5539/ijef.v12n8p40
    • NLM

      Feijó RLC. Investment strategy in Brazil's financial market: wide possibilities of choice between risk and return [Internet]. International Journal of Economics and Finance. 2020 ; 12( 8): 40-51.[citado 2025 nov. 27 ] Available from: https://doi.org/10.5539/ijef.v12n8p40
    • Vancouver

      Feijó RLC. Investment strategy in Brazil's financial market: wide possibilities of choice between risk and return [Internet]. International Journal of Economics and Finance. 2020 ; 12( 8): 40-51.[citado 2025 nov. 27 ] Available from: https://doi.org/10.5539/ijef.v12n8p40

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