共 50 条
- [22] PORTFOLIO RISK - REVIEW OF THEORY AND EMPIRICAL-EVIDENCE NEBRASKA JOURNAL OF ECONOMICS AND BUSINESS, 1977, 16 (04): : 75 - 89
- [29] An Empirical Analysis of Factors Affecting Bank Interest Margins: Evidence from the South East European Countries COMPARATIVE ECONOMIC RESEARCH-CENTRAL AND EASTERN EUROPE, 2018, 21 (02): : 81 - 98