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Issue Date | Title | Author(s) |
---|---|---|
2007 | Mean-risk models using two risk measures: A multi-objective approach | Roman, D; Darby-Dowman, K; Mitra, G |
2006 | Mean-risk models using two risk measures: A multi-objective approach | Roman, D; Mitra, G; Darby-Dowman, K |
2004 | Portfolio optimisation models and properties of return distributions | Roman, D; Darby-Dowman, K; Mitra, G |
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