A. MERAL And Ö. UĞUR, "Optimal Portfolio Strategies under Various Risk Measures," International Conference on Pure and Applied Mathematics , 2015
MERAL, A. And UĞUR, Ö. 2015. Optimal Portfolio Strategies under Various Risk Measures. International Conference on Pure and Applied Mathematics .
MERAL, A., & UĞUR, Ö., (2015). Optimal Portfolio Strategies under Various Risk Measures . International Conference on Pure and Applied Mathematics
MERAL, ALEV, And ÖMÜR UĞUR. "Optimal Portfolio Strategies under Various Risk Measures," International Conference on Pure and Applied Mathematics, 2015
MERAL, ALEV And UĞUR, ÖMÜR. "Optimal Portfolio Strategies under Various Risk Measures." International Conference on Pure and Applied Mathematics , 2015
MERAL, A. And UĞUR, Ö. (2015) . "Optimal Portfolio Strategies under Various Risk Measures." International Conference on Pure and Applied Mathematics .
@conferencepaper{conferencepaper, author={ALEV MERAL And author={ÖMÜR UĞUR}, title={Optimal Portfolio Strategies under Various Risk Measures}, congress name={International Conference on Pure and Applied Mathematics}, city={}, country={}, year={2015}}