INVESTMENT MANAGEMENT: THE LONG AND THE SHORT OF IT - How portfolio theory can be generalised to account for long and short positions.
Year of publication: |
2000
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Authors: | Lundin, Mark ; Satchell, Stephen |
Published in: |
Risk : managing risk in the world's financial markets. - London : Incisive Financial Publ, ISSN 0952-8776, ZDB-ID 10494753. - Vol. 13.2000, 8, p. 94-98
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Saved in:
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