Optimal Financial Portfolios
Authors:
S. V. Stoyanov a;
S. T. Rachev b;
F. J. Fabozzi c
| Affiliations: | a Chief Financial Researcher, FinAnalytica, Inc., Seattle, USA |
| b Department of Econometrics and Statistics, University of Karlsruhe, Germany and Department of Statistics and Applied Probability, University of California Santa Barbara, | |
| c Professor in the Practice of Finance, Yale University, School of Management, |
DOI:
10.1080/13504860701255292
Publication Frequency:
6 issues per year
Formats available:
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(English)
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(English)

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