Makoto Takano is an author at University of Virginia specializing in portfolio selection, asset allocation, and portfolio management.
Top concepts
FinanceBusinessManagementAsset AllocationEconomic AnalysisPortfolio SelectionPortfolio ManagementPortfolio OptimizationEconomicsAsset Pricing
Publications per year
1992–1993
2
2
Rows per page
1–2 of 2