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On robust portfolio and naïve diversification: mixing ambiguous and unambiguous assets - MaRDI portal

On robust portfolio and naïve diversification: mixing ambiguous and unambiguous assets (Q1621908)

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scientific article; zbMATH DE number 6976241
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English
On robust portfolio and naïve diversification: mixing ambiguous and unambiguous assets
scientific article; zbMATH DE number 6976241

    Statements

    On robust portfolio and naïve diversification: mixing ambiguous and unambiguous assets (English)
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    12 November 2018
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    naïve diversification
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    robust portfolio optimization
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    ambiguous and unambiguous assets
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    conditional value-at-risk
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    worst-case risk measures
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