Value at Risk and Optimum Asset Allocation in Stock-Bond Portfolio Before and after the Global Financial Crisis: Empirical Evidence from Australia and G7 Countries
2015 ◽
Vol 28
(1)
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pp. 132-166
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2020 ◽
Vol 20
(1)
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pp. 63-86
2021 ◽
Vol 39
(1)
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pp. 95-113
2016 ◽
Vol 69
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pp. 224-246
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