Sironi, P. (2015). Modern portfolio management: From Markowitz to probabilistic scenario optimisation ; goal-based and long-term portfolio choice. Risk Books.
Chicago-Zitierstil (17. Ausg.)Sironi, Paolo. Modern Portfolio Management: From Markowitz to Probabilistic Scenario Optimisation ; Goal-based and Long-term Portfolio Choice. London: Risk Books, 2015.
MLA-Zitierstil (9. Ausg.)Sironi, Paolo. Modern Portfolio Management: From Markowitz to Probabilistic Scenario Optimisation ; Goal-based and Long-term Portfolio Choice. Risk Books, 2015.
Achtung: Diese Zitate sind unter Umständen nicht zu 100% korrekt.