z-logo
open-access-imgOpen Access
Toward a Different Portfolio Weighting and Diversification
Author(s) -
Charles J. Higgins
Publication year - 2019
Publication title -
journal of finance and bank management
Language(s) - English
Resource type - Journals
eISSN - 2333-6072
pISSN - 2333-6064
DOI - 10.15640/jfbm.v7n1a3
Subject(s) - diversification (marketing strategy) , weighting , portfolio , portfolio optimization , modern portfolio theory , standard deviation , econometrics , actuarial science , variance (accounting) , economics , statistics , mathematics , financial economics , business , accounting , marketing , medicine , radiology

The content you want is available to Zendy users.

Already have an account? Click here to sign in.
Having issues? You can contact us here
Accelerating Research

Address

John Eccles House
Robert Robinson Avenue,
Oxford Science Park, Oxford
OX4 4GP, United Kingdom