000 00531nam a2200181Ia 4500
008 100324s9999 xx 000 0 und d
100 _aKorn, Olaf and Koziol, Christian
240 _aJournal of Fixed Income (Q)
245 _aBond portfolio optimization: a risk-return approach
246 _f2006
260 _c2006
300 _bV. 15
_cIssue. 4
_a48-60
366 _b2006
366 _bMarch
650 _aFinance
653 _aBond portfolio optimization;Government bond portfolios;Risk return approach
942 _cJA
999 _c46303
_d46303