Model scan and optimal portfolio choice in European stock returns.
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| Title: | Model scan and optimal portfolio choice in European stock returns. |
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| Authors: | Fletcher, Jonathan1 (AUTHOR) j.fletcher@strath.ac.uk, Marshall, Andrew1 (AUTHOR), O'Connell, Michael1 (AUTHOR) |
| Source: | European Journal of Finance. Mar/Apr2026, Vol. 32 Issue 4-6, p528-545. 18p. |
| Database: | Business Source Ultimate |
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| ISSN: | 1351847X |
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| DOI: | 10.1080/1351847X.2025.2502571 |