郑伟, 王建华. A Portfolio Selection Model within the Framework of Fractal Distribution of Capital Returns[J]. Journal of Finance and Economics, 2004, 30(6): 15–22.
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Journal of Finance and Economics
LiuYuanchun, Editor-in-Chief
ZhengChunrong, Vice Executive Editor-in-Chief
YaoLan BaoXiaohua HuangJun, Vice Editor-in-Chief
A Portfolio Selection Model within the Framework of Fractal Distribution of Capital Returns
Journal of Finance and Economics Vol. 30, Issue 06, pp. 15 - 22 (2004)
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