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MULTI‐PERIOD MEAN‐VARIANCE ANALYSIS: TOWARD A GENERAL THEORY OF PORTFOLIO CHOICE *
Author(s) -
Hakansson Nils H.
Publication year - 1971
Publication title -
the journal of finance
Language(s) - English
Resource type - Journals
SCImago Journal Rank - 18.151
H-Index - 299
eISSN - 1540-6261
pISSN - 0022-1082
DOI - 10.1111/j.1540-6261.1971.tb00924.x
Subject(s) - period (music) , miller , library science , modern portfolio theory , portfolio , sociology , management , operations research , computer science , economics , mathematics , financial economics , philosophy , biology , aesthetics , ecology