| dc.contributor.author |
Milošević, Katarina |
|
| dc.date.accessioned |
2020-10-08T14:54:56Z |
|
| dc.date.available |
2020-10-08T14:54:56Z |
|
| dc.date.issued |
2013 |
|
| dc.identifier.uri |
http://hdl.handle.net/123456789/4912 |
|
| dc.description.provenance |
Submitted by Slavisha Milisavljevic (slavisha) on 2020-10-08T14:54:56Z
No. of bitstreams: 1
Master teza Katarina Milosevic.pdf: 1290958 bytes, checksum: dd41ab3f427562da3eecaf771134f92d (MD5) |
en |
| dc.description.provenance |
Made available in DSpace on 2020-10-08T14:54:56Z (GMT). No. of bitstreams: 1
Master teza Katarina Milosevic.pdf: 1290958 bytes, checksum: dd41ab3f427562da3eecaf771134f92d (MD5)
Previous issue date: 2013 |
en |
| dc.format.medium |
A4 |
en_US |
| dc.language.iso |
sr |
en_US |
| dc.publisher |
Beograd |
en_US |
| dc.title |
Matematički modeli optimizacije portfelja finansijskih instrumenata |
en_US |
| mf.document.pages |
59 |
en_US |
| mf.contributor.editor-in-chief |
Janković, Slobodanka |
|