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Bibliographic Data

ID9705763
AuthorsNigel Duck, Nigel W Duck, Stephen R King, Rick M McConnell, David H Popell
Year1990
Volume100
Issue401
Pages655
Publication date1990-06-01
Peer ReviewedYes
Open AccessNo
TypeARTICLE
VenueThe Economic Journal (JOURNAL)
Journal identifiersISSN: 0013-0133 • E-ISSN: 1468-0297
PublisherOxford University Press (OUP) (PUBLISHER)
DOI10.2307/2234169
OpenAlexW4230073817
LanguageEN

Journal Article Portfolio Risk Management: A Computer Simulation for Stocks and Options Get access Portfolio Risk Management: A computer simulation for Stocks and Options. By GREGORY B. GETTS, PETER H. RITCHKEN and HARVEY M. SALKIN. (Reading, Mass: Addison- Wesley, 1989. £22.45. ISBN 0 201 06498 7.) David Ashton David Ashton University of Bristol Search for other works by this author on: Oxford Academic Google Scholar The Economic Journal, Volume 100, Issue 401, 1 June 1990, Page 655, https://doi.org/10.2307/2234169 Published: 01 June 1990

Actuarial science · Economics · Financial economics · Library science · Management · Political science · Portfolio · Reading (process · Computer Science · Economic theories and models · Law · Risk Management in Financial Firms

Citation velocityhistorical
Highly citedNo

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Ethnos_APP • Open Source Project • MIT License • Frontend v2.0.0 • Privacy and Cookies • API Documentation: api.ethnos.app/docs • API Source Code: GitHub • DOI: 10.5281/zenodo.17049435 • Frontend Source Code: GitHub • DOI: 10.5281/zenodo.17050053 • cruz.rio.br • Expectantes Misericordiae