Journal of Mathematical Finance

Vol.6 No.2(2016), Paper ID 66409, 6 pages

DOI:10.4236/jmf.2016.62023

 

Measure of Investment Optimal Strategy

 

J. T. Eghwerido, E. Ekuma-Okereke, E. Ekuma-Okereke, E. Efe-Eyefia, Edwin Iguodala, T. O. Obilade

 

Department of Mathematics and Computer Science, Federal University of Petroleum Resources Effurun, Nigeria
Department of Mathematics and Computer Science, Federal University of Petroleum Resources Effurun, Nigeria
Department of Mathematics and Computer Science, Federal University of Petroleum Resources Effurun, Nigeria
Department of Mathematics and Computer Science, Federal University of Petroleum Resources Effurun, Nigeria
Department of Mathematics and Computer Science, Federal University of Petroleum Resources Effurun, Nigeria
Department of Mathematics and Computer Science, Federal University of Petroleum Resources Effurun, Nigeria

 

Copyright © 2016 J. T. Eghwerido, E. Ekuma-Okereke, E. Ekuma-Okereke, E. Efe-Eyefia, Edwin Iguodala, T. O. Obilade et al. This is an open access article distributed under the Creative Commons Attribution License, which permits unrestricted use, distribution, and reproduction in any medium, provided the original work is properly cited.

 

How to Cite this Article


Eghwerido, J. , Ekuma-Okereke, E. , Ekuma-Okereke, E. , Efe-Eyefia, E. , Iguodala, E. and Obilade, T. (2016) Measure of Investment Optimal Strategy. Journal of Mathematical Finance, 6, 269-274. doi: 10.4236/jmf.2016.62023.

Copyright © 2024 by authors and Scientific Research Publishing Inc.

Creative Commons License

This work and the related PDF file are licensed under a Creative Commons Attribution 4.0 International License.