01167cam0-22003851i-450-99000251709040332120060323113107.0000251709FED01000251709(Aleph)000251709FED0100025170920030910d1979----km-y0itay50------baengNLEstimation risk and optimal portfolio choiceVijay Bawa, Stephen J. Brown, Roger W. KleinAmsterdamNorth Holland1979xiii, 190 p.25 cmStudies in bayesian econometrics3Matematica finanziariaScelta degli investimentiTeoria del portafoglio519Bawa,Vijay S.102574Brown,Stephen J.92951Klein,Roger W.102575ITUNINARICAUNIMARCBK990002517090403321MIV-C-33052MAS11-486-TB4288ECA11-486-BIS-TBTB 4.288ECAXV M1 60DTEMASECADTEEstimation risk and optimal portfolio choice439247UNINA