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dc.contributor.authorBowman, Edward H.en_US
dc.contributor.otherSloan School of Management.en_US
dc.date.accessioned2009-10-05T06:48:32Z
dc.date.available2009-10-05T06:48:32Z
dc.date.issued1980]en_US
dc.identifierriskreturnparado00bowmen_US
dc.identifier.urihttp://hdl.handle.net/1721.1/48928
dc.description"March 1980."en_US
dc.publisherCambridge, Mass. : Massachusetts Institute of Technologyen_US
dc.relation.ispartofseriesWorking paper (Sloan School of Management) ; 1107-80.en_US
dc.subjectStrategic planning.en_US
dc.subjectRisk management.en_US
dc.titleA risk/return paradox for strategic managementen_US
dc.typeWorking Paperen_US
dc.identifier.oclc15503540en_US
dc.identifier.aleph000275864en_US


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