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This paper analyzes and discusses the stable distributional approach in portfolio choice theory. We consider different hypotheses of portfolio selection with stable distributed returns and, more generally, with heavy-tailed distributed returns. In particular, we examine empirical differences...
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This paper discusses two optimal allocation problems. We consider different hypotheses of portfolio selection with stable distributed returns for each of them. In particular, we study the optimal allocation between a riskless return and risky stable distributed returns. Furthermore, we examine...
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[Thematik der Arbeit:] In der vorliegenden Arbeit geht es um die Paketzustellung in ländlichen Gebieten, in denen es keine lokalen Geschäfte gibt, die als Paketshop dienen könnten. Der Schwerpunkt liegt vor allem auf der wirtschaftlichen Untersuchung von KEPDienstleistungen (Kurier-,...
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