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subject:"Risikomaß"
subject:"USA"
~isPartOf:"Economic modelling"
~person:"Gleißner, Werner"
~person:"Janabi, Mazin A. M. al"
~subject:"ARCH-Modell"
~subject:"Germany"
~subject:"Granger-causality in risk"
~subject:"Portfolio management"
~subject:"Theory"
~type_genre:"Article in journal"
~type_genre:"Conference proceedings"
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Optimal and investable portfolios : an empirical analysis with scenario optimization algorithms under crisis market prospects
Janabi, Mazin A. M. al
- In:
Economic modelling
40
(
2014
),
pp. 369-381
Persistent link: https://www.econbiz.de/10010425591
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