Nonparametric correlation models for portfolio allocation

  1. Aslanidis, N.
  2. Casas, I.
Journal:
Journal of Banking and Finance

ISSN: 0378-4266

Year of publication: 2013

Volume: 37

Issue: 7

Pages: 2268-2283

Type: Article

DOI: 10.1016/J.JBANKFIN.2013.01.010 GOOGLE SCHOLAR

Sustainable development goals