Senior Lecturer, The Leon Recanati Graduate School of Business Administration, Tel Aviv University.
ON SYSTEMATIC AND UNSYSTEMATIC COMPONENTS OF FINANCIAL RISK
Article first published online: 30 APR 2012
1972 The American Finance Association
The Journal of Finance
Volume 27, Issue 1, pages 37–45, March 1972
How to Cite
Beja, A. (1972), ON SYSTEMATIC AND UNSYSTEMATIC COMPONENTS OF FINANCIAL RISK. The Journal of Finance, 27: 37–45. doi: 10.1111/j.1540-6261.1972.tb00617.x
- Issue published online: 30 APR 2012
- Article first published online: 30 APR 2012
Options for accessing this content:
- Login via other institutional login options http://onlinelibrary.wiley.com/login-options.
- You can purchase online access to this Article for a 24-hour period (price varies by title)
- New Users: Please register, then proceed to purchase the article.
Registered Users please login:
- Access your saved publications, articles and searches
- Manage your email alerts, orders and subscriptions
- Change your contact information, including your password
Please register to:
- Save publications, articles and searches
- Get email alerts
- Get all the benefits mentioned below!