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Information Journal Paper

Title

A SIMULATION APPROACH TO DYNAMIC PORTFOLIO CHOICE WITH AN APPLICATION TO LEARNING ABOUT RETURN PREDICTABILITY

Pages

  831-873

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Abstract

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    APA: Copy

    BRANDT, M., GOYAL, A., & SANTA CLARA, P.. (2005). A SIMULATION APPROACH TO DYNAMIC PORTFOLIO CHOICE WITH AN APPLICATION TO LEARNING ABOUT RETURN PREDICTABILITY. REVIEW OF FINANCIAL STUDIES, 18(-), 831-873. SID. https://sid.ir/paper/668540/en

    Vancouver: Copy

    BRANDT M., GOYAL A., SANTA CLARA P.. A SIMULATION APPROACH TO DYNAMIC PORTFOLIO CHOICE WITH AN APPLICATION TO LEARNING ABOUT RETURN PREDICTABILITY. REVIEW OF FINANCIAL STUDIES[Internet]. 2005;18(-):831-873. Available from: https://sid.ir/paper/668540/en

    IEEE: Copy

    M. BRANDT, A. GOYAL, and P. SANTA CLARA, “A SIMULATION APPROACH TO DYNAMIC PORTFOLIO CHOICE WITH AN APPLICATION TO LEARNING ABOUT RETURN PREDICTABILITY,” REVIEW OF FINANCIAL STUDIES, vol. 18, no. -, pp. 831–873, 2005, [Online]. Available: https://sid.ir/paper/668540/en

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