共 50 条
- [45] Asset allocation in a lower stock-bond correlation environment - How lower correlation would impact investor decisions and welfare. JOURNAL OF PORTFOLIO MANAGEMENT, 2003, 30 (01): : 25 - +
- [49] Is the 60-40 Stock-Bond Pension Fund Rule Wise? JOURNAL OF PORTFOLIO MANAGEMENT, 2013, 39 (02): : 63 - 72