Optimal portfolio and background risk: an exact and an approximated solution. (Q1413356)
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English | Optimal portfolio and background risk: an exact and an approximated solution. |
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Optimal portfolio and background risk: an exact and an approximated solution. (English)
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16 November 2003
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Asset allocation
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Inflation risk
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Feynman-Kač theorem
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Stochastic investment opportunities
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