On a general class of portfolio diversification measures induced by risk measures.
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| Title: | On a general class of portfolio diversification measures induced by risk measures. |
|---|---|
| Authors: | Torrente, Maria-Laura1 (AUTHOR) marialaura.torrente@economia.unige.it, Uberti, Pierpaolo2 (AUTHOR) |
| Source: | Annals of Operations Research. Mar2026, p1-44. |
| Database: | Business Source Ultimate |
| FullText | Text: Availability: 0 |
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| Header | DbId: bsu DbLabel: Business Source Ultimate An: 192243369 AccessLevel: 2 PubType: Academic Journal PubTypeId: academicJournal PreciseRelevancyScore: 0 |
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| PLink | https://search.ebscohost.com/login.aspx?direct=true&site=eds-live&db=bsu&AN=192243369 |
| RecordInfo | BibRecord: BibEntity: Identifiers: – Type: doi Value: 10.1007/s10479-026-07153-6 Languages: – Code: eng Text: English PhysicalDescription: Pagination: StartPage: 1 Titles: – TitleFull: On a general class of portfolio diversification measures induced by risk measures. Type: main BibRelationships: HasContributorRelationships: – PersonEntity: Name: NameFull: Torrente, Maria-Laura – PersonEntity: Name: NameFull: Uberti, Pierpaolo IsPartOfRelationships: – BibEntity: Dates: – D: 12 M: 03 Text: Mar2026 Type: published Y: 2026 Identifiers: – Type: issn-print Value: 02545330 Titles: – TitleFull: Annals of Operations Research Type: main |
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