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Market Risk Model agricolture portfolio value-at-risk
[post]
2020
unpublished
Thinking about this current extreme scenario of stock exchange observed in a world scenario perspective and the related choices for worldbank portfolio investments in Agricolture commodity, this study its based in an advanced economic observation and analisys of the Agricolture commodity in a scenario of portfolio diversification without have the market risk default. This study its based in an advanced financial strategy to define the market model composed of London stock exchange agricolture
doi:10.21203/rs.3.rs-46262/v1
fatcat:3oqybty5pbay7osakn3ue4gooa