A General Framework for Portfolio Theory : Part II: drawdown risk measures
Maier-Paape, Stanislaus (Corresponding author); Zhu, Qiji Jim (Corresponding author)
(2017)
Preprint
Identifikationsnummern
- RWTH PUBLICATIONS: RWTH-2017-08957
Zum Inhaltsbereich Zur Hauptnavigation Zur Suche
Maier-Paape, Stanislaus (Corresponding author); Zhu, Qiji Jim (Corresponding author)
(2017)
Preprint