Last edited by Fenrizilkree
Thursday, May 7, 2020 | History

3 edition of A simulation approach to dynamic portfolio choice with an application to learning about return predictability found in the catalog.

A simulation approach to dynamic portfolio choice with an application to learning about return predictability

A simulation approach to dynamic portfolio choice with an application to learning about return predictability

  • 185 Want to read
  • 39 Currently reading

Published by National Bureau of Economic Research in Cambridge, MA .
Written in English

    Subjects:
  • Portfolio management -- Econometric models.

  • Edition Notes

    StatementMichael W. Brandt ... [et al.]
    SeriesNBER working paper series ;, working paper 10934, Working paper series (National Bureau of Economic Research : Online) ;, working paper no. 10934.
    ContributionsBrandt, Michael W., National Bureau of Economic Research.
    Classifications
    LC ClassificationsHB1
    The Physical Object
    FormatElectronic resource
    ID Numbers
    Open LibraryOL3476168M
    LC Control Number2005615626


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