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On the use of optimization models for portfolio selection: A review and some computational results - MaRDI portal

On the use of optimization models for portfolio selection: A review and some computational results (Q1890889)

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scientific article; zbMATH DE number 758110
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English
On the use of optimization models for portfolio selection: A review and some computational results
scientific article; zbMATH DE number 758110

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    On the use of optimization models for portfolio selection: A review and some computational results (English)
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    23 May 1995
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    bond portfolio optimization
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    portfolio theory
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    Markowitz mean-variance model
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    dual algorithm
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    constrained optimization
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