Portfolio Management - Increased correlation in bear markets

RAJ Campbell, CG (Kees) Koedijk, P Kofman

Research output: Contribution to journalArticleAcademicpeer-review

Original languageUndefined/Unknown
Pages (from-to)87-87
Number of pages1
JournalFinancial Analysts Journal
Volume58
Issue number1
Publication statusPublished - 2002

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