Denčić-Mihajlov, Ksenija, University of Niš Faculty of Economics, Serbia
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Vol. 17, No 1, 2020 - Articles
EFFECTS OF APPLYING DIFFERENT RISK MEASURES ON THE OPTIMAL PORTFOLIO SELECTION: THE CASE OF THE BELGRADE STOCK EXCHANGE
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ISSN 0354-4699 (Print)
ISSN 2406-050X (Online)