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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)
Seber, Akin, (2014)
M-Squared and ranking issues for risky assets
Baigent, G. Glenn, (2015)
[Rezension von: Klein, L. R., Lectures in econometrics]
Schneeweiß, Hans, (1986)
[Rezension von: Krämer, Walter, Trend in ökonometrischen Modellen]
Correlated measurement errors in repeated measurements
Schneeweiß, Hans, (1987)