Filtros : "Boalin, Bruno" Limpar

Filtros



Refine with date range


  • Source: Theoretical Economics Letters. Unidade: FEARP

    Subjects: CAPITAL DE RISCO, FUNDO DE INVESTIMENTO, INVESTIMENTOS

    Acesso à fonteDOIHow to cite
    A citação é gerada automaticamente e pode não estar totalmente de acordo com as normas
    • ABNT

      BOALIN, Bruno et al. Relationship between portfolio distribution, management, and composition and the performance of Brazilian fixed-income investment funds (2011-2018). Theoretical Economics Letters, v. 10, n. 2, p. 305-321, 2020Tradução . . Disponível em: https://doi.org/10.4236/tel.2020.102021. Acesso em: 27 abr. 2024.
    • APA

      Boalin, B., Gatsios, R. C., Lima, F. G., & Antônio, R. M. (2020). Relationship between portfolio distribution, management, and composition and the performance of Brazilian fixed-income investment funds (2011-2018). Theoretical Economics Letters, 10( 2), 305-321. doi:10.4236/tel.2020.102021
    • NLM

      Boalin B, Gatsios RC, Lima FG, Antônio RM. Relationship between portfolio distribution, management, and composition and the performance of Brazilian fixed-income investment funds (2011-2018) [Internet]. Theoretical Economics Letters. 2020 ; 10( 2): 305-321.[citado 2024 abr. 27 ] Available from: https://doi.org/10.4236/tel.2020.102021
    • Vancouver

      Boalin B, Gatsios RC, Lima FG, Antônio RM. Relationship between portfolio distribution, management, and composition and the performance of Brazilian fixed-income investment funds (2011-2018) [Internet]. Theoretical Economics Letters. 2020 ; 10( 2): 305-321.[citado 2024 abr. 27 ] Available from: https://doi.org/10.4236/tel.2020.102021

Digital Library of Intellectual Production of Universidade de São Paulo     2012 - 2024