The Fundamental Approximation Theorem of Portfolio Analysis in terms of Means, Variances, and Higher Moments.
Year of publication: |
1970
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Authors: | Samuelson, Paul A |
Published in: |
Review of Economic Studies. - Wiley Blackwell, ISSN 0034-6527. - Vol. 37.1970, 4, p. 537-42
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Publisher: |
Wiley Blackwell |
Saved in:
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