Pages that link to "Item:Q2255933"
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The following pages link to An efficient method of evaluating portfolio risk and return (Q2255933):
Displaying 3 items.
- Estimating probabilities relevant to calculating relative risk-corrected returns of alternative portfolios (Q1375552) (← links)
- The returns and risks of investment portfolio in a financial market (Q1782838) (← links)
- Robust portfolio selection for sparse index tracking under no short-selling and full investment constraints (Q6591682) (← links)