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The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)

Bibliographische Detailangaben
Verfasser / Komponist: hasan ghalibaf asl
beteiligte Personen: hasan ghalibaf asl nazila poordadash mehrabani leila dehghan
In: راهبرد مدیریت مالی, 3, 2015, 3, S. 1-23
Medientyp: E-Article
Umfang: 1-23
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nazila poordadash mehrabani
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author hasan ghalibaf asl
nazila poordadash mehrabani
leila dehghan
spellingShingle hasan ghalibaf asl
nazila poordadash mehrabani
leila dehghan
راهبرد مدیریت مالی
The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)
author_sort hasan ghalibaf asl
spelling hasan ghalibaf asl nazila poordadash mehrabani leila dehghan 2345-3214 2538-1962 https://doi.org/10.22051/jfm.2015.2246 The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds) راهبرد مدیریت مالی
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title The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)
title_unstemmed The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)
title_full The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)
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title_full_unstemmed The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)
title_short The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)
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spelling hasan ghalibaf asl nazila poordadash mehrabani leila dehghan 2345-3214 2538-1962 https://doi.org/10.22051/jfm.2015.2246 The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds) راهبرد مدیریت مالی
spellingShingle hasan ghalibaf asl, nazila poordadash mehrabani, leila dehghan, راهبرد مدیریت مالی, The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)
title The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)
title_full The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)
title_fullStr The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)
title_full_unstemmed The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)
title_short The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)
title_sort the investigation of the relationship between managers` risk aversion and financial institutions` performance in market (case study: mutual funds)
title_unstemmed The Investigation of the Relationship between Managers` Risk Aversion and Financial Institutions` Performance in Market (Case Study: Mutual Funds)
url https://doi.org/10.22051/jfm.2015.2246