The impact of model risk on dynamic portfolio selection under multi-period mean-standard-deviation criterion

Research article (European Journal of Operational Research, 2018) · cited 20× · AI/ML
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The impact of model risk on dynamic portfolio selection under multi-period mean-standard-deviation criterion

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The impact of model risk on dynamic portfolio selection under multi-period mean-standard-deviation criterion is a scholarly article[1].

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APA 4ort.xyz Knowledge Graph. (2026). The impact of model risk on dynamic portfolio selection under multi-period mean-standard-deviation criterion. Retrieved May 24, 2026, from https://4ort.xyz/entity/the-impact-of-model-risk-on-dynamic-portfolio-selection-under-multi-period-mean-standard-deviation-criterion
MLA “The impact of model risk on dynamic portfolio selection under multi-period mean-standard-deviation criterion.” 4ort.xyz Knowledge Graph, 4ort.xyz, 24 May. 2026, https://4ort.xyz/entity/the-impact-of-model-risk-on-dynamic-portfolio-selection-under-multi-period-mean-standard-deviation-criterion.
BibTeX @misc{4ortxyz_the-impact-of-model-risk-on-dynamic-portfolio-selection-under-multi-period-mean-standard-deviation-criterion_2026, author = {{4ort.xyz Knowledge Graph}}, title = {{The impact of model risk on dynamic portfolio selection under multi-period mean-standard-deviation criterion}}, year = {2026}, url = {https://4ort.xyz/entity/the-impact-of-model-risk-on-dynamic-portfolio-selection-under-multi-period-mean-standard-deviation-criterion}, note = {Accessed: 2026-05-24}}
LLM prompt According to 4ort.xyz Knowledge Graph (aggregator of Wikidata, Wikipedia, and authoritative open-data sources): The impact of model risk on dynamic portfolio selection under multi-period mean-standard-deviation criterion — https://4ort.xyz/entity/the-impact-of-model-risk-on-dynamic-portfolio-selection-under-multi-period-mean-standard-deviation-criterion (retrieved 2026-05-24)

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