Mean-Variance Approaches to Risk-Return Relationships in...

Mean-Variance Approaches to Risk-Return Relationships in Strategy: Paradox Lost

Timothy W. Ruefli
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Volume:
36
Language:
english
Journal:
Management Science
DOI:
10.2307/2631956
Date:
March, 1990
File:
PDF, 433 KB
english, 1990
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