11
TITLE: Multivariate Models to Forecast Portfolio Value at Risk: from the Dot-Com crisis to the global financial crisis  Full Text
AUTHORS: Vtor Manuel D de Sousa Gabriel;
PUBLISHED: 2014, SOURCE: RBGN-REVISTA BRASILEIRA DE GESTAO DE NEGOCIOS, VOLUME: 16, ISSUE: 51
INDEXED IN: Scopus WOS
16
17
TITLE: FACTORES DETERMINANTES NA IMPLEMENTAÇÃO DO BALANCED SCORECARD EM PORTUGAL  Full Text
AUTHORS: Patrícia Rodrigues Quesado; Lucia Lima Rodrigues;
PUBLISHED: 2009, SOURCE: Revista Universo Contábil - RUC, VOLUME: 5, ISSUE: 4
INDEXED IN: CrossRef
Page 2 of 2. Total results: 17.