Title: AN ANALYSIS OF ALTERNATIVE MEASURES OF INVESTMENT RISK
Abstract: The Journal of FinanceVolume 30, Issue 1 p. 193-200 Article AN ANALYSIS OF ALTERNATIVE MEASURES OF INVESTMENT RISK Carl J. Schwendiman, Carl J. Schwendiman Associate ProfessorSearch for more papers by this authorGeorge E. Pinches, George E. Pinches Associate Professor The authors are Associate Professors at the University of Montana and the University of Missouri-Columbia, respectively.Search for more papers by this author Carl J. Schwendiman, Carl J. Schwendiman Associate ProfessorSearch for more papers by this authorGeorge E. Pinches, George E. Pinches Associate Professor The authors are Associate Professors at the University of Montana and the University of Missouri-Columbia, respectively.Search for more papers by this author First published: March 1975 https://doi.org/10.1111/j.1540-6261.1975.tb03170.xCitations: 12Read the full textAboutPDF ToolsRequest permissionExport citationAdd to favoritesTrack citation ShareShare Give accessShare full text accessShare full-text accessPlease review our Terms and Conditions of Use and check box below to share full-text version of article.I have read and accept the Wiley Online Library Terms and Conditions of UseShareable LinkUse the link below to share a full-text version of this article with your friends and colleagues. Learn more.Copy URL Share a linkShare onFacebookTwitterLinkedInRedditWechat Citing Literature Volume30, Issue1March 1975Pages 193-200 RelatedInformation
Publication Year: 1975
Publication Date: 1975-03-01
Language: en
Type: article
Indexed In: ['crossref']
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Cited By Count: 22
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