article
PORTFOLIO SELECTION*
The Journal of Finance · 1952 · Vol. 7(1) · pp. 77–91
Harry M. Markowitz✉(RAND Corporation)
State Capitalism and Financial GovernancePortfolioCommissionCitationSelection (genetic algorithm)European commissionOperations researchComputer scienceLibrary scienceEconomicsPolitical science
Citations
5,206
FWCI
0.00
field-weighted impact
References
0
Percentile
53%
vs. same field & year
Citations per year
Cited by
The relationship between corporate social responsibility and shareholder value: an empirical test of the risk management hypothesis
Strategic Management Journal · 2008 · 3,031 citations
Citation Network
How this paper connects to the literature. Drag to explore, click any node to open that paper.
