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IJAR
2008
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IJAR 2008
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Portfolio management under epistemic uncertainty using stochastic dominance and information-gap theory
14 years 19 days ago
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ifsc.ualr.edu
Portfolio management in finance is more than a mathematical problem of optimizing performance under risk constraints. A critical factor in practical portfolio problems is severe u...
Daniel Berleant, L. Andrieu, Jean-Philippe Argaud,...
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