Aspects Regarding The Behavior Of Financial Instrument Investors In Romania
The present paper tries to bring into focus the model of the Romanian investors in the capital market.The information that we used and processed was collected from three important souces: literature review, official raports of BSE and Sibex, official reports of Central Depository and Financial Supervisory Authority. Generally, we can point out the great risk aversion that characterized the Romanian financial instrument investors.
Volume (Year): 2 (2013)
Issue (Month): 3 (December)
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