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주택 투자에서 지역과 평형을 고려한 포트폴리오의 위험분산효과 : Risk diversification effects based on region and housing size in housing investment

DC Field Value Language
dc.contributor.advisor김용창-
dc.contributor.author박치형-
dc.date.accessioned2019-07-10T05:43:18Z-
dc.date.available2019-07-10T05:43:18Z-
dc.date.issued2011-08-
dc.identifier.other000000031396-
dc.identifier.urihttps://hdl.handle.net/10371/159823-
dc.identifier.urihttp://dcollection.snu.ac.kr:80/jsp/common/DcLoOrgPer.jsp?sItemId=000000031396ko_KR
dc.description학위논문 (석사)-- 서울대학교 대학원 : 지리학과, 2011.8. 김용창.-
dc.format.extent92 p.-
dc.language.isokor-
dc.publisher서울대학교 대학원-
dc.subject포트폴리오-
dc.subject위험분산효과-
dc.subject주택 투자-
dc.subject위험-
dc.subject상관관계-
dc.subject리스크-
dc.subject부동산 투자-
dc.subject분산투자-
dc.subject위험분산-
dc.subject평형-
dc.subjectPortfolio-
dc.subjectReal Estate Investment-
dc.subjectCorrelation-
dc.subjectRisk-
dc.subjectdiversification Effect-
dc.subjectHousing investment-
dc.title주택 투자에서 지역과 평형을 고려한 포트폴리오의 위험분산효과-
dc.title.alternativeRisk diversification effects based on region and housing size in housing investment-
dc.typeThesis-
dc.typeDissertation-
dc.description.degreeMaster-
dc.contributor.affiliation지리학과-
dc.date.awarded2011-08-
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