Theoretical and empirical estimates of mean-variance portfolio sensitivity (Q2514711): Difference between revisions

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Latest revision as of 16:08, 9 July 2024

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Theoretical and empirical estimates of mean-variance portfolio sensitivity
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    Theoretical and empirical estimates of mean-variance portfolio sensitivity (English)
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    3 February 2015
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    investment analysis
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    asset allocation
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    mean-variance portfolio
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    estimation error
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    bootstrap
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