Risk-Aversion, Capital Asset Allocation, and Markowitz Portfolio-Selection Model
2012 ◽
pp. 265-311
Keyword(s):
2010 ◽
pp. 69-92
Keyword(s):
2009 ◽
Vol 38
(69)
◽
pp. 39-45
◽
2016 ◽
Vol 41
(3)
◽
pp. 1-21
1970 ◽
Vol 25
(5)
◽
pp. 1005-1027
◽
Keyword(s):
2011 ◽
Vol 38
(9)
◽
pp. 11735-11743
◽
2011 ◽
Vol 7
(1)
◽
pp. 109-109
2010 ◽
Vol 23
(9)
◽
pp. 1114-1119
◽