Mathematics and Economics

CCAPM II: Returns Formulation and the Mean-Variance Frontier

In Asset Pricing Reading Group, Economics, Finance on March 29, 2011 at 1:58 am

Due to technical issues on getting our figure and latex to display and compile on wordpress, we will temporarily include a pdf version of this post: CAPM II: Returns & MVF. We hope to resolve this issue and post in our usual format soon.

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