Miskolczi, Panna2016-10-112016-10-112016Analele Universităţii din Oradea. Ştiinţe economice = Annals of University of Oradea. Economic science. - 25 : 1 (2016), p. 548-557. -Anal. Univ. Oradea. Ştiinţ. Econ. - 1222-569X. - 1582-54501582-54501222-569Xhttp://hdl.handle.net/2437/230899Creative Commons Attribution-NonCommercial 4.0 International LicenseDifferences between mean-variance and mean-cvar portfolio optimization modelsfolyóiratcikkopen access journalhttp://webpac.lib.unideb.hu:8082/ebib/CorvinaWeb?action=cclfind&resultview=long&ccltext=idno+BIBFORM065850TársadalomtudományokKözgazdaságtudományok2018-03-15