Article citationsMore>>

Rockafellar, R. T., Uryasev, S., & Zabarankin, M. (2006b). Master funds in portfolio analysis with general deviation measures. Journal of Banking and Finance, 30, 743-778. doi:10.1016/j.jbankfin.2005.04.004

has been cited by the following article:

SCIRP Newsletter
Copyright © 2006-2026 Scientific Research Publishing Inc. All Rights Reserved.
Top