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dcterms:bibliographicCitation <http://dblp.uni-trier.de/rec/bibtex/journals/jossac/AriciCCDR21>
dc:creator <https://dblp.l3s.de/d2r/resource/authors/Algo_Car%E2%88%9A%C2%AE>
dc:creator <https://dblp.l3s.de/d2r/resource/authors/Federico_A._Ramponi>
dc:creator <https://dblp.l3s.de/d2r/resource/authors/Giorgio_Arici>
dc:creator <https://dblp.l3s.de/d2r/resource/authors/Marco_C._Campi>
dc:creator <https://dblp.l3s.de/d2r/resource/authors/Marco_Dalai>
foaf:homepage <http://dx.doi.org/doi.org%2F10.1007%2Fs11424-021-1229-3>
foaf:homepage <https://doi.org/10.1007/s11424-021-1229-3>
dc:identifier DBLP journals/jossac/AriciCCDR21 (xsd:string)
dc:identifier DOI doi.org%2F10.1007%2Fs11424-021-1229-3 (xsd:string)
dcterms:issued 2021 (xsd:gYear)
swrc:journal <https://dblp.l3s.de/d2r/resource/journals/jossac>
rdfs:label A Theory of the Risk for Empirical CVaR with Application to Portfolio Selection. (xsd:string)
foaf:maker <https://dblp.l3s.de/d2r/resource/authors/Algo_Car%E2%88%9A%C2%AE>
foaf:maker <https://dblp.l3s.de/d2r/resource/authors/Federico_A._Ramponi>
foaf:maker <https://dblp.l3s.de/d2r/resource/authors/Giorgio_Arici>
foaf:maker <https://dblp.l3s.de/d2r/resource/authors/Marco_C._Campi>
foaf:maker <https://dblp.l3s.de/d2r/resource/authors/Marco_Dalai>
swrc:number 5 (xsd:string)
swrc:pages 1879-1894 (xsd:string)
owl:sameAs <http://bibsonomy.org/uri/bibtexkey/journals/jossac/AriciCCDR21/dblp>
owl:sameAs <http://dblp.rkbexplorer.com/id/journals/jossac/AriciCCDR21>
rdfs:seeAlso <http://dblp.uni-trier.de/db/journals/jossac/jossac34.html#AriciCCDR21>
rdfs:seeAlso <https://doi.org/10.1007/s11424-021-1229-3>
dc:title A Theory of the Risk for Empirical CVaR with Application to Portfolio Selection. (xsd:string)
dc:type <http://purl.org/dc/dcmitype/Text>
rdf:type swrc:Article
rdf:type foaf:Document
swrc:volume 34 (xsd:string)