Full Text Available
Note: Clicking the button above will open the full text document at the original institutional repository in a new window.
Includes bibliographical references (leaves 26-29).
| Main Author: | |
|---|---|
| Other Authors: | |
| Format: | Thesis |
| Language: | English |
| Published: |
School of Economics
2014
|
| Subjects: | |
| Tags: |
No Tags, Be the first to tag this record!
|
| _version_ | 1867613689829392384 |
|---|---|
| access_status_str | Open Access |
| author | Pillay, Neryvia |
| author2 | Fedderke, Johannes |
| author_browse | Fedderke, Johannes Pillay, Neryvia |
| author_facet | Fedderke, Johannes Pillay, Neryvia |
| author_sort | Pillay, Neryvia |
| collection | Thesis |
| description | Includes bibliographical references (leaves 26-29). |
| format | Thesis |
| id | oai:open.uct.ac.za:11427/5713 |
| institution | University of Cape Town (South Africa) |
| language | eng |
| last_indexed | 2026-06-10T12:40:08.959Z |
| license_str | Not specified — see source repository |
| provenance_str_mv | Harvested via OAI-PMH from UCTD — University of Cape Town Open Access Repository |
| publishDate | 2014 |
| publishDateRange | 2014 |
| publishDateSort | 2014 |
| publisher | School of Economics |
| publisherStr | School of Economics |
| record_format | dspace |
| source_str | UCTD — University of Cape Town Open Access Repository |
| spelling | oai:open.uct.ac.za:11427/5713 Theory-consistent formal risk measures : using financial market data from a middle income context Pillay, Neryvia Fedderke, Johannes Economics Includes bibliographical references (leaves 26-29). 2014-07-31T12:23:05Z 2014-07-31T12:23:05Z 2007 Master Thesis Masters MCom http://hdl.handle.net/11427/5713 eng application/pdf School of Economics Faculty of Commerce University of Cape Town |
| spellingShingle | Economics Pillay, Neryvia Theory-consistent formal risk measures : using financial market data from a middle income context |
| thesis_degree_str | Master's |
| title | Theory-consistent formal risk measures : using financial market data from a middle income context |
| title_full | Theory-consistent formal risk measures : using financial market data from a middle income context |
| title_fullStr | Theory-consistent formal risk measures : using financial market data from a middle income context |
| title_full_unstemmed | Theory-consistent formal risk measures : using financial market data from a middle income context |
| title_short | Theory-consistent formal risk measures : using financial market data from a middle income context |
| title_sort | theory consistent formal risk measures using financial market data from a middle income context |
| topic | Economics |
| url | http://hdl.handle.net/11427/5713 |
| work_keys_str_mv | AT pillayneryvia theoryconsistentformalriskmeasuresusingfinancialmarketdatafromamiddleincomecontext |