Article citationsMore>>

R. T. Rockafellar, S. Uryasev and M. Zabarankin, “Master Funds in Portfolio Analysis with General Deviation Measures,” Journal of Banking and Finance, Vol. 30, No. 2, 2006, pp. 743-778. doi:10.1016/j.jbankfin.2005.04.004

has been cited by the following article:

Follow SCIRP
Twitter Facebook Linkedin Weibo
Contact us
customer@scirp.org
WhatsApp +86 18163351462(WhatsApp)
Click here to send a message to me 1655362766
Paper Publishing WeChat
Free SCIRP Newsletters
Copyright © 2006-2022 Scientific Research Publishing Inc. All Rights Reserved.
Top