About Monte Carlo Simulation
Year of publication: |
1993
|
---|---|
Authors: | Kritzman, Mark |
Published in: |
Financial analysts' journal : FAJ. - Charlottesville, Va : CFA Institute, ISSN 0015-198X, ZDB-ID 2194090. - Vol. 49.1993, 6, p. 17-20
|
Saved in:
Saved in favorites
Similar items by person
-
Toward Determining Systemic Importance
Kinlaw, William B., (2011)
-
Portfolio Rebalancing: A Test of the Markowitz-Van Dijk Heuristic
Kritzman, Mark, (2007)
-
Introduction to 'Valuation in Emerging Markets'
Bruner, Robert F., (2002)
- More ...