Tensors Associated with Mean Quadratic Differences Explaining the Riskiness of Portfolios of Financial Assets
Author:
Affiliation:
1. Dipartimento di Scienze Statistiche, Università La Sapienza, 00185 Rome, Italy
2. Faculty of Economics, Universitas Mercatorum, 00186 Rome, Italy
Abstract
Publisher
MDPI AG
Subject
Finance,Economics and Econometrics,Accounting,Business, Management and Accounting (miscellaneous)
Link
https://www.mdpi.com/1911-8074/16/8/369/pdf
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