Theoretical and empirical estimates of mean–variance portfolio sensitivity
Year of publication: |
2014
|
---|---|
Authors: | Palczewski, Andrzej ; Palczewski, Jan |
Published in: |
European Journal of Operational Research. - Elsevier, ISSN 0377-2217. - Vol. 234.2014, 2, p. 402-410
|
Publisher: |
Elsevier |
Subject: | Investment analysis | Asset allocation | Mean–variance portfolio | Estimation error | Bootstrap |
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