Dynamic and risk measurement perspectives on Bowman's risk-return paradox for strategic management

an empirical study

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Last edited by ImportBot
December 14, 2011 | History

Dynamic and risk measurement perspectives on Bowman's risk-return paradox for strategic management

an empirical study

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Previews available in: English

Book Details


Edition Notes

Bibliography: p. 20-21.

Published in
Urbana-Campaign
Series
BEBR faculty working paper -- no. 1163, BEBR faculty working paper -- no. 1163.

The Physical Object

Pagination
21 p. ;
Number of pages
21

Edition Identifiers

Open Library
OL25113424M
Internet Archive
dynamicriskmeasu1163fieg
OCLC/WorldCat
152419978

Work Identifiers

Work ID
OL16304027W

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December 14, 2011 Edited by ImportBot import new book
November 23, 2011 Created by ImportBot import new book