Bibliografie
Conference Paper (international conference)
Comparison of various approaches to portfolio efficiency
: Mathematical Methods in Economics 2011, p. 351-356
: Mathematical Methods in Economics 2011, (Liptovský Ján, SK, 06.09.2011)
: CEZ:AV0Z10750506
: GAP402/10/1610, GA ČR
: portfolio efficiency, second-order stochastic dominance, mean-risk models
(eng): This paper deals with portfolio efficiency testing with respect to various criteria.
: BB