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A STOCHASTIC METHOD FOR OPTIMIZING PORTFOLIOS USING A COMBINED MONTE CARLO AND MARKOWITZ MODEL: APPROACH ON PYTHON
by
R., Mallieswari
,
Palanisamy, Varadharajan
,
Senthilnathan, Arthi Thangavelu
,
Gurumurthy, Suganya
,
Selvakumar, J. Joshua
,
Pachiyappan, Sathish
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Economics (Bijeljina.)
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