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Optimum portfolio selection over the period 2016-2021 under South Korea : an empirical analysis
Kundu, Amit, (2022)
Alternative measures for modeling risk and expected utility theory : (risk adjustment, measurement and attitude)
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M-Squared and ranking issues for risky assets
Baigent, G. Glenn, (2015)
On optimal pension funding policy
Ang, James S., (1988)
Alternative formulas to compute implied standard deviation
Ang, James S., (2009)
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