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Asset management strategies of British Investment Trusts Companies, 1920-1928.
Antonis Kyparissis
Economics, Intl Relations & Development
Research output
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Types of Thesis
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Doctoral Thesis
Overview
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Keyphrases
Financial Innovation
100%
Asset Management Strategy
100%
Investment Trusts
100%
Trust Company
100%
Selection Strategy
50%
Social Level
50%
Latin American
50%
Nave
50%
Quantitative Methodology
50%
US Market
50%
Institutional Investors
50%
Investment Strategy
50%
Asset Allocation
50%
Portfolio Optimization
50%
Economic Level
50%
Corporate Investment
50%
Professional Management
50%
Passive Management
50%
Asset Management Policy
50%
Active Management
50%
Financial Level
50%
Financial Opportunities
50%
Qualitative Methodology
50%
Economic-financial
50%
Social Sciences
Asset Management
100%
Management Strategy
100%
Portfolio Selection
66%
UK
33%
USA
33%
Latin
33%
Qualitative Methodology
33%
Financial Economics
33%
Management Policy
33%
Institutional Investor
33%
Top Management
33%