The Fundamental Approximation Theorem of Portfolio Analysis in terms of Means, Variances and Higher Moments

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Publication:5614389

DOI10.2307/2296483zbMath0212.52001OpenAlexW2068689926MaRDI QIDQ5614389

P. A. Samuelsen

Publication date: 1970

Published in: The Review of Economic Studies (Search for Journal in Brave)

Full work available at URL: https://doi.org/10.2307/2296483




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