A portfolio model with a new risk measure
Year of publication: |
1983
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Authors: | Akant, Adnan ; Schielke, Hugo J. H. |
Published in: |
Geld, Banken und Versicherungen : Beiträge zum ... Symposium Geld, Banken und Versicherungen. - Karlsruhe : Verl. Versicherungswirtschaft, ZDB-ID 627581-3. - 1983, p. 513-529
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Subject: | Kapitalanlage Portefeuilleplanung | Theorie | Theory | Portfolio-Management | Portfolio selection | Risikomaß | Risk measure | Risiko | Risk |
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