Bank Portfolio Allocation, Deposit Variability, and the Availability Doctrine
DOI:
10.2307/1880516
Publication Date:
2006-04-23T15:42:47Z
AUTHORS (2)
ABSTRACT
I. Portfolio theory and the availability doctrine, 113. — II. Portfolio optimization under deposit variability, 120. — III. Some extensions of the argument, 125. — IV. Conclusions, 128. — Appendix, 130.
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