Background Risk Models and Stepwise Portfolio Construction
Year of publication: |
2016
|
---|---|
Authors: | Asimit, Alexandru Vali |
Other Persons: | Vernic, Raluca (contributor) ; Zitikis, Ricardas (contributor) |
Publisher: |
[2016]: [S.l.] : SSRN |
Subject: | Portfolio-Management | Portfolio selection | Theorie | Theory | Risikomodell | Risk model |
-
A managed volatility investment strategy for pooled annuity products
Li, Shuanglan, (2022)
-
Strategic Asset Allocation and Risk Budgeting for Insurers Under Solvency II
Kouwenberg, Roy, (2017)
-
Assessing the Solvency Risk of Insurance Portfolios via a Continuous Time Cohort Model
Jevtic, Petar, (2015)
- More ...
-
Asimit, Alexandru Vali, (2014)
-
On a Multivariate Pareto Distribution
Asimit, Alexandru Vali, (2013)
-
Statistical Inference for a New Class of Multivariate Pareto Distributions
Asimit, Alexandru Vali, (2016)
- More ...