The effect of selling property derivatives on the risk and return of the investment portfolio
: a calculation model for the risk and return of an investment portfolio with property derivatives

  • H.G.H. Vaessen

Student thesis: Master

Abstract

Date of Award31 Mar 2007
Original languageEnglish
SupervisorR.M. Weisz (Supervisor 1), C.J.T.M. Kokke (Supervisor 2) & P. de Haas (External coach)

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