Spliced correlation : theory development
Year of publication: |
2016
|
---|---|
Authors: | Haber, Jeffry |
Published in: |
Global journal of business research : GJBR. - Hilo, Hawaii : IBFR, ISSN 1931-0277, ZDB-ID 2536575-7. - Vol. 10.2016, 1, p. 65-69
|
Subject: | Correlation | Spliced Correlation | Investing | Portfolio Management | Portfolio-Management | Portfolio selection | Korrelation | Entwicklungstheorie | Development theory |
-
Blitz, David, (2022)
-
Reuse, Svend, (2011)
-
Exploiting high frequency data for volatility forecasting and portfolio selection
Hu, Yujia, (2012)
- More ...
-
Optimal spending in a private foundation given known parameters
Haber, Jeffry, (2008)
-
Under-reporting of returns by alternative asset funds
Haber, Jeffry, (2011)
-
Haber, Jeffry, (2010)
- More ...