Optimal accumulation of capital:a continuous-time martingale theory. Part II: the portfolio-cum-saving model
Foldes, Lucien
(1980)
Optimal accumulation of capital:a continuous-time martingale theory. Part II: the portfolio-cum-saving model
[Working paper]
(Unpublished)
| Item Type | Working paper |
|---|---|
| Departments | Systemic Risk Centre |
| Date Deposited | 02 Aug 2022 09:36 |
| URI | https://researchonline.lse.ac.uk/id/eprint/115753 |