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1

Mutti, Shadreck Mukanjo. Commercial banks' lending portfolio to agricultural investment. UNZA, 2000.

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2

Stallings, Barbara. Banker to the Third World: U.S. portfolio investment in Latin America, 1900-1986. University of California Press, 1987.

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3

Pratap, Sangeeta. Firm dynamics, investment, and debt portfolio: Balance sheet effects of the Mexican crisis of 1994. National Bureau of Economic Research, 2004.

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4

Pratap, Sangeeta. Firm dynamics, investment, and debt portfolio: Balance sheet effects of the mexican crisis of 1994. National Bureau of Economic Research, 2004.

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5

United States. Farm Credit Administration, ed. Loan portfolio management. The Administration, 1998.

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6

Weiland, Janice M. Focusing on loan portfolio concentrations. Robert Morris Associates, 1993.

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7

Singer, Brian. Investment leadership & portfolio management. Wiley, 2009.

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8

Kolari, James W., Wei Liu, and Seppo Pynnönen. Professional Investment Portfolio Management. Springer Nature Switzerland, 2023. http://dx.doi.org/10.1007/978-3-031-48169-7.

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9

C, Brown Keith, ed. Investment analysis & portfolio management. South-Western Cengage Learning, 2012.

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10

Goldstein, Itay. Foreign direct investment vs. foreign portfolio investment. National Bureau of Economic Research, 2005.

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11

Goldstein, Itay. Foreign direct investment vs. foreign portfolio investment. National Bureau of Economic Research, 2005.

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12

DeYoung, Robert. Risk overhang and loan portfolio decisions. Federal Reserve Bank of Chicago, 2005.

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13

Hua, Yu. Commercial banks' sovereign loan lending behavior and loan portfolio analysis. CIACO, 1989.

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14

Bravo-Ortega, Claudio. Does asymmetric information cause the home equity bias? World Bank, 2005.

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15

Frontenac Loan and Investment Society. Frontenac Loan and Investment Society. s.n.], 1986.

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16

Goetzmann, William N. Equity portfolio diversification. National Bureau of Economic Research, 2001.

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17

Tanous, Peter J. Investment visionaries. Prentice Hall Press, 2003.

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18

Chandra, Prasanna. Investment analysis and portfolio management. McGraw-Hill, 2010.

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19

Darst, David M., ed. Portfolio Investment Opportunities in China. John Wiley & Sons, Inc., 2012. http://dx.doi.org/10.1002/9781118503003.

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20

Monks, Robert A. G., Alexandra Reed Lajoux, and Dean LeBaron. Corporate Valuation for Portfolio Investment. John Wiley & Sons, Inc., 2010. http://dx.doi.org/10.1002/9781118531860.

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21

Darst, David M., ed. Portfolio Investment Opportunities in India. John Wiley & Sons, Inc., 2012. http://dx.doi.org/10.1002/9781119204091.

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22

Singer, Brian, and Greg Fedorinchik. Investment Leadership and Portfolio Management. John Wiley & Sons, Inc., 2009. http://dx.doi.org/10.1002/9781118267844.

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23

Chandra, Prasanna. Investment analysis and portfolio management. McGraw-Hill, 2010.

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24

Reilly, Frank K. Investment analysis and portfolio management. 3rd ed. Dryden Press, 1989.

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25

Reilly, Frank K. Investment analysis and portfolio management. 5th ed. Dryden Press, 1997.

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26

Reilly, Frank K. Investment analysis and portfolio management. 6th ed. South-Western/Thomson Learning, 2000.

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27

Jeffrey, Pontiff, and Harvard Business School, eds. Investment taxation and portfolio performance. Harvard Business School, 2010.

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28

C, Brown Keith, ed. Investment analysis and portfolio management. 7th ed. South-Western/Thomson Learning, 2003.

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29

F, Witt Stephen, and Fielding John, eds. Portfolio theory and investment management. 2nd ed. Blackwell Business, 1994.

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30

Reilly, Frank K. Investment analysis and portfolio management. 4th ed. Dryden Press, 1994.

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31

Dobbins, Richard. Portfolio theory and investment management. Basil Blackwell, 1986.

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32

Cohen, Jerome Bernard. Investment analysis and portfolio management. 5th ed. Irwin, 1987.

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33

Lauritano, Mary A. Investment risk and portfolio design. Harcourt Brace Professional Pub., 1995.

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34

Stijn, Claessens, and Gooptu Sudarshan, eds. Portfolio investment in developing countries. World Bank, 1993.

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35

Reilly, Frank K. Investment analysis and portfolio management. 9th ed. South-Western Cengage Learning, 2009.

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36

IMF Task Force on Coordinated Portfolio Investment Survey. and International Monetary Fund, eds. Coordinated portfolio investment survey guide. 2nd ed. International Monetary Fund, 2002.

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37

Reilly, Frank K. Investment analysis and portfolio management. 3rd ed. Holt, R & W, 1989.

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38

National Development Information Office (Indonesia), ed. Capital markets and portfolio investment. Indonesia National Development Information Office, 1996.

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39

Reilly, Frank K. Investment analysis and portfolio management. 2nd ed. Dryden Press, 1985.

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40

1938-, Bird Richard Miller, and Krauss Melvyn B, eds. Taxation of international portfolio investment. Centre for Trade Policy and Law, 1991.

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41

North Dakota. Dept. of Economic Development & Finance., ed. Regional Rural Development Revolving Loan Fund: Loan & investment policy. North Dakota Dept. of Economic Development and Finance, 1994.

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42

Optimal Risk-Return Trade-Offs of Commercial Banks: And the Suitability of Profitability Measures for Loan Portfolios (Lecture Notes in Economics and Mathematical Systems). Springer, 2006.

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43

Scharaga, Eric. Lienlord: The Complete Guide to Optimizing Your Investment Portfolio With Secured Mortgage Loans Kindle Edition. Eric Scharaga, 2020.

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44

Stallings, Barbara. Banker to the Third World: U. S. Portfolio Investment in Latin America, 1900-1986. University of California Press, 2018.

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45

Small business: Financial condition of SBA's business loan portfolio is improving : report to the Chairman, Committee on Small Business, House of Representatives. The Office, 1991.

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46

Loan Portfolio Management. Risk Management Assoc, 1988.

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47

Commercial loan portfolio management. R. Morris Associates, 1993.

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48

Country portfolios. World Bank, 2004.

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49

Econoday, Inc. Kid's Investment Portfolio. Econoday, Inc., 1999.

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50

Weiland, Janice. Focusing on Loan Portfolio Concentrations. CRC Press LLC, 1995.

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