Title

Equally Weighted Portfolios vs Value Weighted Portfolios: Reasons for Differing Betas

Status

Faculty

School

School of Economics and Business Administration

Document Type

Article

Publication Date

2015

Publication Title

Journal of Financial Stability

Volume

18

First Page

203

Last Page

207

Peer Reviewed

1

Scholarly

yes

DOI

10.1016/j.jfs.2015.04.006

Disciplines

Business | Economics

Original Citation

Pae, Y., & Sabbaghi, N. (2015). Equally weighted portfolios vs value weighted portfolios: Reasons for differing betas. Journal of Financial Stability, 18, 203-207

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