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
Recommended Citation
Dalal, Ardeshir J. "On the use of a covariance function in a portfolio model." Journal of Financial and Quantitative Analysis 18, no. 2 (1983): 223-227.
Journal Title
Journal of Financial and Quantitative Analysis