An algorithm for deriving the capital market line
Year of publication: |
1977
|
---|---|
Authors: | Alexander, Gordon J. |
Published in: |
Management science : journal of the Institute of Management Sciences ; application and theory. - Baltimore, Md. [u.a.] : [Verlag nicht ermittelbar], ZDB-ID 206346-3. - Vol. 23.1977, 11, p. 1183-1186
|
Subject: | Kapitalanlage Portefeuilleplanung |
-
Investor benefits from international portfolio diversification
Novack, Sheldon, (1973)
-
Optimization of bank portfolios
Beazer, William Frank, (1975)
-
Investment analysis and management
Curley, Anthony J., (1979)
- More ...
-
Bank regulation and stability: An examination of the Basel market risk framework
Alexander, Gordon J., (2012)
-
Sharpe, William F., (1999)
-
The effect of the uptick rule on spreads, depths, and short sale prices
Alexander, Gordon J., (2008)
- More ...