Equally Weighted Portfolios vs Value Weighted Portfolios: Reasons for Differing Betas
School of Economics and Business Administration
Journal of Financial Stability
Pae, Y. and Sabbaghi, Navid. Equally Weighted Portfolios vs Value Weighted Portfolios: Reasons for Differing Betas (2015). Journal of Financial Stability. 18, 203-207. 10.1016/j.jfs.2015.04.006 [article]. http://digitalcommons.stmarys-ca.edu/school-economics-business-faculty-works/142
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