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Portfolio theory: mean-variance

Board, J., Sutcliffe, C. and Ziemba, W. (2013) Portfolio theory: mean-variance. In: Gass, S.I. and Fu, M.C. (eds.) Encyclopedia of Operations Research and Management Science. 3rd edition. Springer, Berlin. ISBN 9781441911544 (In Press)

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Item Type:Book or Report Section
Refereed:Yes
Divisions:Henley Business School > ICMA Centre
ID Code:25470
Additional Information:Due for publication June 2013.
Publisher:Springer

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