Font Size: a A A
Keyword [covariance matrix]
Result: 1 - 3 | Page: 1 of 1
1. Demonstration And Comparison On The Method Of Risk-quantified In Value At Risk
2. Portfolio Investment In The Mean - Variance Model Parameter Estimation To Improve And Empirical Research
3. Mean - Variance Model Of Investment In Securities Selected For Further Study
  <<First  <Prev  Next>  Last>>  Jump to