Systematic risk in a purely random market model : some empir. evidence for individual publ. utilities
| Year of publication: |
1987
|
|---|---|
| Authors: | Rahman, Abdul H. |
| Other Persons: | Kryzanowski, Lawrence (contributor) ; Sim, Ah-boon (contributor) |
| Published in: |
The journal of financial research. - Malden, MA : Wiley-Blackwell Publishing, ISSN 0270-2592, ZDB-ID 875353-2. - Vol. 10.1987, 2, p. 143-152
|
| Subject: | Portfolio-Management | Portfolio selection | Schätztheorie | Estimation theory |
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