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The stable non-Gaussian asset allocation: a comparison with the classical Gaussian approach - MaRDI portal

The stable non-Gaussian asset allocation: a comparison with the classical Gaussian approach (Q951337)

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scientific article; zbMATH DE number 5356606
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The stable non-Gaussian asset allocation: a comparison with the classical Gaussian approach
scientific article; zbMATH DE number 5356606

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    The stable non-Gaussian asset allocation: a comparison with the classical Gaussian approach (English)
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    24 October 2008
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    dynamic portfolio optimization
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    stable distribution
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    scenario generation
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    asset return predictability
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