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Please use this identifier to cite or link to this item: https://hdl.handle.net/10086/27776

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Title: 証券化による発行者の資産リスクの変動と資本市場の評価―J-REITのケース・スタディ―
Authors: 江上, 雅彦
細野, 薫
Issue Date: Mar-2016
Publisher: Institute of Economic Research, Hitotsubashi University
Physical Description: 22p
Series/Report no.: HIT-REFINED Working Paper Series ; No. 54
Language: jpn
Text Version: publisher
RelationURI: http://www.ier.hit-u.ac.jp/hit-refined/
Appears in Collections:Working Paper Series / Real Estate Markets, Financial Crisis, and Economic Growth An Integrated Economic Approach

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