"On the Use of a Covariance Function in a Portfolio Model" by Ardeshir J. Dalal
 

Title

On the Use of a Covariance Function in a Portfolio Model

Department(s)

Economics

Document Type

Article

DOI

https://doi.org/10.2307/2330920

Publication Date

1983

Journal Title

Journal of Financial and Quantitative Analysis

Plum Print visual indicator of research metrics
PlumX Metrics
  • Citations
    • Citation Indexes: 1
  • Usage
    • Abstract Views: 3
  • Captures
    • Readers: 10
see details

Share

COinS