Combining Portfolio Models
| dc.contributor.author | Schanbacher, Peter | |
| dc.date.accessioned | 2018-03-05T08:19:24Z | |
| dc.date.available | 2018-03-05T08:19:24Z | |
| dc.date.issued | 2014 | eng |
| dc.description.version | published | de |
| dc.identifier.uri | https://kops.uni-konstanz.de/handle/123456789/41685 | |
| dc.language.iso | eng | eng |
| dc.subject | Investment Strategy, Diversification, Markowitz, Portfolio Optimization, Model Averaging, Portfolio Allocation | eng |
| dc.subject.ddc | 330 | eng |
| dc.subject.jel | C52 | |
| dc.subject.jel | C53 | |
| dc.subject.jel | G11 | |
| dc.subject.jel | G17 | |
| dc.title | Combining Portfolio Models | eng |
| dc.type | JOURNAL_ARTICLE | de |
| dspace.entity.type | Publication | |
| kops.citation.bibtex | @article{Schanbacher2014Combi-41685,
year={2014},
title={Combining Portfolio Models},
url={http://aeconf.com/Articles/Nov2014/aef150208.pdf},
number={2},
volume={15},
issn={1529-7373},
journal={Annals of Economics and Finance},
pages={433--455},
author={Schanbacher, Peter}
} | |
| kops.citation.iso690 | SCHANBACHER, Peter, 2014. Combining Portfolio Models. In: Annals of Economics and Finance. 2014, 15(2), pp. 433-455. ISSN 1529-7373 | deu |
| kops.citation.iso690 | SCHANBACHER, Peter, 2014. Combining Portfolio Models. In: Annals of Economics and Finance. 2014, 15(2), pp. 433-455. ISSN 1529-7373 | eng |
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| kops.sourcefield | Annals of Economics and Finance. 2014, <b>15</b>(2), pp. 433-455. ISSN 1529-7373 | deu |
| kops.sourcefield.plain | Annals of Economics and Finance. 2014, 15(2), pp. 433-455. ISSN 1529-7373 | deu |
| kops.sourcefield.plain | Annals of Economics and Finance. 2014, 15(2), pp. 433-455. ISSN 1529-7373 | eng |
| kops.url | http://aeconf.com/Articles/Nov2014/aef150208.pdf | eng |
| kops.urlDate | 2018-03-05 | eng |
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| source.periodicalTitle | Annals of Economics and Finance | eng |