Skip to main content
English
Čeština
Log In
Email address
Password
Log in
New user? Click here to register.
Have you forgotten your password?
Log in with Shibboleth
Communities & Collections
All of DSpace
Statistics
English
Čeština
Log In
Email address
Password
Log in
New user? Click here to register.
Have you forgotten your password?
Log in with Shibboleth
Home
Publications
OBD
Stability analysis of optimal mean-variance portfolio due to covariance estimation
Stability analysis of optimal mean-variance portfolio due to covariance estimation
Date issued
2017
Authors
Šedivá, Blanka
Marek, Patrice
Journal Title
Journal ISSN
Volume Title
Publisher
Univerzita Hradec Králové
Abstract
Description
Subject(s)
Citation
Item identifier
http://hdl.handle.net/11025/30445
Collections
OBD
Articles (KMA)
Articles (NTIS)
Show full item record