Risk Minimization of Financial Assets Portfolio

<p>The minimization of the portfolio of financial assets has a particular interest in the field of finance. In this context, several approaches have been proposed to contribute to the solution of this problem which Markowitz approach is the most popular. In this paper, we propose a new approac...

Full description

Bibliographic Details
Main Authors: Mostafa El Hachlouf, Mohammed El Haddad, Faris Hamza, Meriem Aboulethar
Format: Article
Language:English
Published: EconJournals 2019-04-01
Series:International Journal of Economics and Financial Issues
Online Access:https://www.econjournals.com/index.php/ijefi/article/view/5240