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GOST
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Kokhno P., Kozlov N. MODELS OF RISK MANAGEMENT OF INDEX PORTFOLIO AND THEIR APPLICATION IN CALCULATION OF RUSSIA'S STOCK INDICES // Obshchestvo i ekonomika. – 2008. – Issue 8 C. 72-102 . |
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MLA
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Kokhno, Pavel, Kozlov, N. "MODELS OF RISK MANAGEMENT OF INDEX PORTFOLIO AND THEIR APPLICATION IN CALCULATION OF RUSSIA'S STOCK INDICES." Obshchestvo i ekonomika. 8 (2008).:72-102. |
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APA
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Kokhno P., Kozlov N. (2008). MODELS OF RISK MANAGEMENT OF INDEX PORTFOLIO AND THEIR APPLICATION IN CALCULATION OF RUSSIA'S STOCK INDICES. Obshchestvo i ekonomika. no. 8, pp.72-102 |