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Portfolio Selection Using Mean-variance Model for Financial Technology Sector in the Australian Market Before and During COVID-19.
R. A. Rebualos
M. N. Young
Yogi Tri Prasetyo
Reny Nadlifatin
Published in:
IEEM (2022)
Keyphrases
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portfolio selection
portfolio optimization
decision making
optimal portfolio
theoretical framework
portfolio management
probability distribution
management system
text mining
sensitivity analysis