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Comonotonic Approximations for Optimal Portfolio Selection ..:
Dhaene, J.
;
Vanduffel, S.
;
Goovaerts, M. J.
..
The Journal of Risk and Insurance. 72 (2005) 2 - p. 253-300 , 2005
Link:
https://www.jstor.org/stable/3519950
RT Journal T1
Comonotonic Approximations for Optimal Portfolio Selection Problems
UL https://suche.suub.uni-bremen.de/peid=jstor-3519950&Exemplar=1&LAN=DE A1 Dhaene, J. A1 Vanduffel, S. A1 Goovaerts, M. J. A1 Kaas, R. A1 Vyncke, D. PB Blackwell Publishing YR 2005 SN 0022-4367 SN 1539-6975 K1 Economics K1 Economic disciplines K1 Financial economics K1 Finance K1 Financial investments K1 Investment strategies K1 Financial portfolios K1 Mathematics K1 Mathematical procedures K1 Approximation K1 Financial management K1 Financial risk K1 Investment risk K1 Pure mathematics K1 Probability theory K1 Random variables K1 Business K1 Business administration K1 Business management K1 Capital management K1 Capital investments K1 Financial markets K1 Capital markets K1 Socioeconomics K1 Wealth K1 Investors JF The Journal of Risk and Insurance VO 72 IS 2 SP 253 OP 300 LK http://dx.doi.org/https://www.jstor.org/stable/3519950 DO https://www.jstor.org/stable/3519950 SF ELIB - SuUB Bremen
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