Discussion paper DP5148 Portfolio Selection with Parameter and Model Uncertainty: A Multi-Prior Approach Lorenzo Garlappi Raman Uppal Tan Wang 23 Jul 2005 Financial Economics D81 G11
Discussion paper DP5041 Portfolio Selection with Parameter and Model Uncertainty: A Multi-Prior Approach Lorenzo Garlappi Raman Uppal Tan Wang 23 May 2005 Financial Economics D81 G11