Özekici, SüleymanDericioğlu, Harun2024-11-092004https://hdl.handle.net/20.500.14288/5283xi, 98 l. : ill. ; 30 cm.restrictedAccessPortfolio managementReliability (Engineering)Multiperiod mean-variance portfolio optimization in Markovian markets under imperfect informationThesis© All Rights Reserved. Accessible to Koç University Affiliated Users Only!