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A new approach to portfolio theory

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Publication:375081
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DOI10.1016/0165-1765(85)90079-5zbMath1273.91429OpenAlexW2068579774MaRDI QIDQ375081

Mohammad Hasan, H. S. Yoon

Publication date: 24 October 2013

Published in: Economics Letters (Search for Journal in Brave)

Full work available at URL: https://doi.org/10.1016/0165-1765(85)90079-5



Mathematics Subject Classification ID

Portfolio theory (91G10)


Related Items (1)

On the convexity of the portfolio choice set




Cites Work

  • Unnamed Item
  • Differential geometry of curved exponential families. Curvatures and information loss
  • Portfolio Efficient Sets




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