<?xml version="1.0"?>
<metadata xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xmlns:dc="http://purl.org/dc/elements/1.1/"><dc:title>Primerjava strategij upravljanja finančnega premoženja vlagateljev</dc:title><dc:creator>Štingl,	Marko	(Avtor)
	</dc:creator><dc:creator>Dolenc,	Primož	(Mentor)
	</dc:creator><dc:subject>strategija upravljanja</dc:subject><dc:subject>aktivne in pasivne strategije</dc:subject><dc:subject>merjenje uspešnosti</dc:subject><dc:subject>donosnost</dc:subject><dc:subject>standardni odklon</dc:subject><dc:subject>koeficient Sharpe</dc:subject><dc:subject>Treynorjev koeficient</dc:subject><dc:subject>informacijski koeficient</dc:subject><dc:subject>koeficient beta</dc:subject><dc:publisher>[M. Štingl]</dc:publisher><dc:date>2016</dc:date><dc:date>2021-06-07 07:38:01</dc:date><dc:type>Magistrsko delo</dc:type><dc:identifier>16412</dc:identifier><dc:identifier>UDK: 336.742:330.322(043.2)</dc:identifier><dc:identifier>COBISS.SI-ID: 1538672836</dc:identifier><dc:language>sl</dc:language></metadata>
