//-->
Inflation Risk Management in Project Finance Investments
Moro Visconti, Roberto, (2015)
Portfolio selection using the multiple attribute decision making model
Daugherty, Mary Schmid, (2021)
Mean-variance combining rules that outperform naïve diversification
Benjlijel, Bacem, (2022)
Lessons from naïve diversification about the risk-reward trade-off
Haensly, Paul J., (2022)
Reassessment of contagion and competitive intra-industry effects of bankruptcy announcements
Haensly, Paul J., (2001)
Tracking error in the Dow Jones industrial average versus alternative market indices : new evidence