Show simple item record

A Theory of Bank Portfolio Allocations Under Uncertainty and the Implications for Bank Regulation.

dc.contributor.authorJames, Christopher Martin
dc.date.accessioned2020-09-08T23:23:51Z
dc.date.available2020-09-08T23:23:51Z
dc.date.issued1978
dc.identifier.urihttps://hdl.handle.net/2027.42/157614
dc.format.extent194 p.
dc.languageEnglish
dc.titleA Theory of Bank Portfolio Allocations Under Uncertainty and the Implications for Bank Regulation.
dc.typeThesis
dc.description.thesisdegreenamePhDen_US
dc.description.thesisdegreedisciplineEconomics
dc.description.thesisdegreegrantorUniversity of Michigan
dc.subject.hlbtoplevelSocial Sciences
dc.contributor.affiliationumcampusAnn Arbor
dc.description.bitstreamurlhttp://deepblue.lib.umich.edu/bitstream/2027.42/157614/1/7822924.pdfen_US
dc.owningcollnameDissertations and Theses (Ph.D. and Master's)


Files in this item

Show simple item record

Remediation of Harmful Language

The University of Michigan Library aims to describe library materials in a way that respects the people and communities who create, use, and are represented in our collections. Report harmful or offensive language in catalog records, finding aids, or elsewhere in our collections anonymously through our metadata feedback form. More information at Remediation of Harmful Language.

Accessibility

If you are unable to use this file in its current format, please select the Contact Us link and we can modify it to make it more accessible to you.