A dynamic portfolio approach to asset markets and monetary policy

Publisher:
World Scientific
Publication Type:
Chapter
Citation:
Advances in Statistics, Probability and Actuarial Science: Stochastic Processes, Finance and Control, 2012, 1st, pp. 347 - 373
Issue Date:
2012-01
Full metadata record
Files in This Item:
Filename Description Size
Thumbnail2011003685OK.pdf Published version1.7 MB
Adobe PDF
Please use this identifier to cite or link to this item: