Pekár, J., Brezina, I., & Reiff, M. Portfolio Selection Model Based on Drawdown Risk Measure with Different Inputs.
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Chicago Style (17th ed.) Citation
Pekár, Juraj, Ivan Brezina, and Marian Reiff. Portfolio Selection Model Based on Drawdown Risk Measure with Different Inputs.
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MLA (9th ed.) Citation
Pekár, Juraj, et al. Portfolio Selection Model Based on Drawdown Risk Measure with Different Inputs.
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Warning: These citations may not always be 100% accurate.