Risk forecasting models and optimal portfolio selection

  1. Moreno, D.
  2. Marco, P.
  3. Olmeda, I.
Revue:
Applied Economics

ISSN: 0003-6846

Année de publication: 2005

Volumen: 37

Número: 11

Pages: 1267-1281

Type: Article

DOI: 10.1080/00036840500109142 GOOGLE SCHOLAR