Get access

PORTFOLIO ANALYSIS UNDER UNCERTAIN MEANS, VARIANCES, AND COVARIANCES

Authors

  • Christopher B. Barry

    Assistant Professor of ManagementSearch for more papers by this author
    • The author is Assistant Professor of Management at the University of Florida. He is grateful to Robert L. Winkler, Indiana University, for helpful comments on an earlier draft of this paper.

Get access to the full text of this article

Ancillary