Better than optimal mean–variance portfolio policy in multi-period asset–liability management problem
2015 ◽
Vol 2015
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pp. 1-16
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2018 ◽
Vol 81
(3)
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pp. 859-897
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2017 ◽
Vol 13
(5)
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pp. 0-0
Keyword(s):
2014 ◽
Vol 2014
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pp. 1-9
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2013 ◽
Vol 53
(1)
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pp. 281-291
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Keyword(s):
2013 ◽
Vol 52
(1)
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pp. 6-17
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2013 ◽
Vol 2013
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pp. 1-16
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