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Financial risk / Regression analysis / Mathematical finance / Investment / Estimation theory / Portfolio optimization / Tracking error / Sharpe ratio / Standard deviation / Ordinary least squares / Linear regression / Hyperbolic absolute risk aversion
Date: 2014-07-03 12:38:36
Financial risk
Regression analysis
Mathematical finance
Investment
Estimation theory
Portfolio optimization
Tracking error
Sharpe ratio
Standard deviation
Ordinary least squares
Linear regression
Hyperbolic absolute risk aversion

JOURNAL OF INTERDISCIPLINARY RESEARCH AD ALTA PASSIVE PORTFOLIO MANAGEMENT BASED ON QUADRATIC INDEX TRACKING MARTIN BOĎA, b MÁRIA KANDEROVÁ

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