Samuelson, P. A. (Oct70). The Fundamental Approximation Theorem of Portfolio Analysis in terms of Means, Variances and Higher Moments. Review of Economic Studies, 37(4), 537-543.
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Cita Chicago Style (17a ed.)
Samuelson, Paul A. "The Fundamental Approximation Theorem of Portfolio Analysis in Terms of Means, Variances and Higher Moments."
Review of Economic Studies 37, no. 4 (Oct70): 537-543.
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Cita MLA (9a ed.)
Samuelson, Paul A. "The Fundamental Approximation Theorem of Portfolio Analysis in Terms of Means, Variances and Higher Moments."
Review of Economic Studies, vol. 37, no. 4, Oct70, pp. 537-543.
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