Portfolio Optimization and Mortgage Choice
Publikation: Bidrag til tidsskrift › Tidsskriftartikel › Forskning › fagfællebedømt
Standard
Portfolio Optimization and Mortgage Choice. / Nordfang, Maj-Britt; Steffensen, Mogens.
I: Journal of Risk and Financial Management, Bind 10, Nr. 1, 1, 03.2017.Publikation: Bidrag til tidsskrift › Tidsskriftartikel › Forskning › fagfællebedømt
Harvard
Nordfang, M-B & Steffensen, M 2017, 'Portfolio Optimization and Mortgage Choice', Journal of Risk and Financial Management, bind 10, nr. 1, 1. https://doi.org/10.3390/jrfm10010001
APA
Nordfang, M-B., & Steffensen, M. (2017). Portfolio Optimization and Mortgage Choice. Journal of Risk and Financial Management, 10(1), [1]. https://doi.org/10.3390/jrfm10010001
Vancouver
Nordfang M-B, Steffensen M. Portfolio Optimization and Mortgage Choice. Journal of Risk and Financial Management. 2017 mar.;10(1). 1. https://doi.org/10.3390/jrfm10010001
Author
Bibtex
@article{e75dcd3720d3465eae3cf64d2cd61949,
title = "Portfolio Optimization and Mortgage Choice",
keywords = "optimal mortgage choice, stochastic control theory, stochastic interest rate",
author = "Maj-Britt Nordfang and Mogens Steffensen",
year = "2017",
month = mar,
doi = "10.3390/jrfm10010001",
language = "English",
volume = "10",
journal = "Journal of Risk and Financial Management",
issn = "1911-8066",
publisher = "MDPI",
number = "1",
}
RIS
TY - JOUR
T1 - Portfolio Optimization and Mortgage Choice
AU - Nordfang, Maj-Britt
AU - Steffensen, Mogens
PY - 2017/3
Y1 - 2017/3
KW - optimal mortgage choice
KW - stochastic control theory
KW - stochastic interest rate
U2 - 10.3390/jrfm10010001
DO - 10.3390/jrfm10010001
M3 - Journal article
VL - 10
JO - Journal of Risk and Financial Management
JF - Journal of Risk and Financial Management
SN - 1911-8066
IS - 1
M1 - 1
ER -
ID: 182620738