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A Mean-Variance Analysis of United States Long-Term Portfolio Foreign Investment

Norman C. Miller1; Marina v.N. Whitman

1 Carnegie Mellon University

Quarterly Journal of Economics 1970

I. Introduction, 175. — II. The basic model, 177. — III. Empirical specification, 179. — IV. Empirical estimation, 187. — V. Poliep' implications, 193.— Appendix: Symbols, definitions, and data sources, 195.

DOI
10.2307/1883008
Volume
84 (2)
Pages
175
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