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dc.contributor.authorLAFRANCE, Robert
dc.date.accessioned2008-03-06T18:19:22Z
dc.date.available2008-03-06T18:19:22Z
dc.date.issued1982
dc.identifier.urihttp://hdl.handle.net/1866/2197
dc.format.extent1109413 bytes
dc.format.mimetypeapplication/pdf
dc.publisherUniversité de Montréal. Département de sciences économiques.fr
dc.titleÉvaluation de l'hypothèse de la moyenne-variance: une application au portefeuille des banques canadiennesen
dc.typeArticle
dc.contributor.affiliationUniversité de Montréal. Faculté des arts et des sciences. Département de sciences économiques
dcterms.isPartOfurn:ISSN:0709-9231
dcterms.languagefraen
UdeM.VersionRioxxVersion publiée / Version of Record
oaire.citationTitleCahier de recherche
oaire.citationIssue8219


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