QR код

A Monte Carlo simulation technique to determine the optimal portfolio

During the past few years, there have been several studies for portfolio management. One of the primary concerns on any stock market is to detect the risk associated with various assets. One of the recognized methods in order to measure, to forecast, and to manage the existing risk is associated wit...

Бүрэн тодорхойлолт

-д хадгалсан:
Номзүйн дэлгэрэнгүй
Үндсэн зохиолчид: Hassan Ghodrati, Zahra Zahiri
Формат: Artigo
Хэл сонгох:Inglês
Хэвлэсэн: Growing Science 2014-03-01
Цуврал:Management Science Letters
Нөхцлүүд:
Онлайн хандалт:http://www.growingscience.com/msl/Vol4/msl_2014_23.pdf
Шошгууд: Шошго нэмэх
Шошго байхгүй, Энэхүү баримтыг шошголох эхний хүн болох!