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Figure 2 Efficient Frontier for the Three Correlation Conditions and Average Means and Standard Deviations of the Actual Portfolios by Condition and Round for the Two Studies. Rf is the Return of Risk-free Bond.

资源编号:1586000

图片出处:Frontiers in Economic and Management Research (Volume 7) 出处详情

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所属学科:国民经济计划学

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