A Mean Variance Portfolio Selection Framework: Estimating Returns of Exchange Traded Funds through Regression Analysis
2021 ◽
Vol 1072
(1)
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pp. 012046
Keyword(s):
2016 ◽
Vol 85
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pp. 49-72
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Keyword(s):
2011 ◽
Vol 35
(8)
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pp. 1369-1385
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