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Tópicos em Administração - Volume 32, 2020

DOI: 10.36229/978-65-86127-94-2.cap.03

Universidade Federal Fluminense, Engevista, 4(19), p. 1005

DOI: 10.22409/engevista.v19i4.923

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Método De Construção De Carteira De Investimento a Partir Do Coeficiente De Variação: Um Estudo Empirico No Mercado De Ações Brasileiro

Journal article published in 2017 by Marcio Pereira Basilio ORCID, Ricardo Bordeaux Rego
This paper is made freely available by the publisher.
This paper is made freely available by the publisher.

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