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Optimal Portfolio Allocation among REITs, Stocks, and Long-Term Bonds: An Empirical Analysis of US Financial Markets
Journal article

Optimal Portfolio Allocation among REITs, Stocks, and Long-Term Bonds: An Empirical Analysis of US Financial Markets

Rafiqul Bhuyan, James Kuhle, Nuriddin Ikromov and Charles Chiemeke
Journal of mathematical finance, Vol.4(2), pp.104-112
2014
Handle:
https://hdl.handle.net/20.500.12741/rep:9255

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