Publication type: Article in scientific journal
Type of review: Peer review (publication)
Title: Asset Allocation mit prognostizierten Renditen und Risikomassen
Authors: Meier, Peter
Takushi, Christian
Published in: Financial Markets and Portfolio Management
Volume(Issue): 6
Issue: 4
Page(s): 414
Pages to: 428
Issue Date: 1992
Publisher / Ed. Institution: Springer
ISSN: 1934-4554
Language: German
Subject (DDC): 332: Financial economics
URI: https://fmpm.ch/fmpm/article-archive-1986-2000/
https://digitalcollection.zhaw.ch/handle/11475/16479
Fulltext version: Published version
License (according to publishing contract): Licence according to publishing contract
Departement: School of Management and Law
Appears in collections:Publikationen School of Management and Law

Files in This Item:
There are no files associated with this item.
Show full item record
Meier, P., & Takushi, C. (1992). Asset Allocation mit prognostizierten Renditen und Risikomassen. Financial Markets and Portfolio Management, 6(4), 414–428. https://fmpm.ch/fmpm/article-archive-1986-2000/
Meier, P. and Takushi, C. (1992) ‘Asset Allocation mit prognostizierten Renditen und Risikomassen’, Financial Markets and Portfolio Management, 6(4), pp. 414–428. Available at: https://fmpm.ch/fmpm/article-archive-1986-2000/.
P. Meier and C. Takushi, “Asset Allocation mit prognostizierten Renditen und Risikomassen,” Financial Markets and Portfolio Management, vol. 6, no. 4, pp. 414–428, 1992, [Online]. Available: https://fmpm.ch/fmpm/article-archive-1986-2000/
MEIER, Peter und Christian TAKUSHI, 1992. Asset Allocation mit prognostizierten Renditen und Risikomassen. Financial Markets and Portfolio Management [online]. 1992. Bd. 6, Nr. 4, S. 414–428. Verfügbar unter: https://fmpm.ch/fmpm/article-archive-1986-2000/
Meier, Peter, and Christian Takushi. 1992. “Asset Allocation mit prognostizierten Renditen und Risikomassen.” Financial Markets and Portfolio Management 6 (4): 414–28. https://fmpm.ch/fmpm/article-archive-1986-2000/.
Meier, Peter, and Christian Takushi. “Asset Allocation mit prognostizierten Renditen und Risikomassen.” Financial Markets and Portfolio Management, vol. 6, no. 4, 1992, pp. 414–28, https://fmpm.ch/fmpm/article-archive-1986-2000/.


Items in DSpace are protected by copyright, with all rights reserved, unless otherwise indicated.