SIMULATION OF PORTFOLIO RETURNS: VARYING NUMBERS OF SECURITIES AND HOLDING PERIODS
Year of publication: |
1982
|
---|---|
Authors: | Lloyd, William P. ; Goldstein, Steven J. |
Published in: |
Journal of Financial Research. - Southern Finance Association - SFA, ISSN 0270-2592. - Vol. 5.1982, 1, p. 27-38
|
Publisher: |
Southern Finance Association - SFA Southwestern Finance Association - SWFA |
Saved in:
Online Resource
Saved in favorites
Similar items by person
-
The relation between returns, ownership structure, and market value
Lloyd, William P., (1986)
-
THE RELATION BETWEEN RETURNS, OWNERSHIP STRUCTURE, AND MARKET VALUE
Lloyd, William P., (1986)
-
Scale economies in the savings and loan industry before diversification
Goldstein, Steven J., (1987)
- More ...