Optimal strategies for government securities portfolio management taking into account propensity to risk
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Publication:1951891
DOI10.1134/S1064230706050078zbMath1263.91044MaRDI QIDQ1951891
E. A. Zav'yalova, E. M. Bronshtein
Publication date: 24 May 2013
Published in: Journal of Computer and Systems Sciences International (Search for Journal in Brave)
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