共 50 条
- [32] Bayesian network models of portfolio risk and return [J]. COMPUTATIONAL FINANCE 1999, 2000, : 87 - 106
- [38] Robust portfolio asset allocation and risk measures [J]. 4OR-A QUARTERLY JOURNAL OF OPERATIONS RESEARCH, 2010, 8 (02): : 113 - 139
- [40] Robust portfolio asset allocation and risk measures [J]. ANNALS OF OPERATIONS RESEARCH, 2013, 204 (01) : 145 - 169