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Financial networks and optimally-sized portfolios

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Publication:5948627
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DOI10.1023/A:1011249812115zbMath0997.91037OpenAlexW1599289629MaRDI QIDQ5948627

Anna Nagurney, June Dong

Publication date: 11 November 2001

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

Full work available at URL: https://doi.org/10.1023/a:1011249812115


zbMATH Keywords

portfoliovariational inequalityfinancial equilibriumfinancial networkliabilitiesmultiple sectorsoptimal holdings of assets


Mathematics Subject Classification ID





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