← Search

Journal of Finance Vol. 30 No. 1 1975

A BAYESIAN MODEL FOR PORTFOLIO SELECTION AND REVISION

Robert L. Winkler; Christopher B. Barry1

1 Indiana University

DOI
10.1111/j.1540-6261.1975.tb03169.x
Volume
30
Issue
1
Pages
179-192
Language
en
Sources
openalex crossref semanticscholar

Cite