Distributional analysis of portfolio choice
Year of publication: |
1988
|
---|---|
Authors: | Dybvig, Philip H. |
Published in: |
The journal of business : B. - Chicago, Ill. : Univ. of Chicago Press, ISSN 0021-9398, ZDB-ID 241617-7. - Vol. 61.1988, 3, p. 369-393
|
Subject: | Portfolio-Management | Portfolio selection | Finanzmarkt | Financial market | Theorie | Theory |
-
Assessing the accuracy of delta-normal VaR evaluation for Serbian government bond portfolio
Obadović, Milica, (2016)
-
Ambiguity and investment decisions : an empirical analysis on mutual fund investor behaviour
Tang, Chao, (2017)
-
Essentials of Investment and Risk Analysis : Theory and Applications
Busu, Mihail, (2022)
- More ...
-
Output supply, employment, and intra-industry wage dispersion
Dybvig, Philip H., (1980)
-
Tax clienteles and asset pricing
Dybvig, Philip H., (1986)
-
Brown, Stephen J., (1986)
- More ...