Relationship between portfolio diversification and value at risk: Empirical evidence
Year of publication: |
2011
|
---|---|
Authors: | Kiani, Khurshid M. |
Published in: |
Emerging Markets Review. - Elsevier, ISSN 1566-0141. - Vol. 12.2011, 4, p. 443-459
|
Publisher: |
Elsevier |
Subject: | Stock returns | Local diversification | Non-normality | Correlation | Value-at-risk |
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