Bond portfolio optimization : a risk return approach
Year of publication: |
2006
|
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Authors: | Korn, Olaf ; Koziol, Christian |
Publisher: |
Cologne |
Subject: | Portfoliomanagement | Anleihe | Portfolio Selection | Risiko | Reduktion |
Extent: | 26 S. : graph. Darst. |
---|---|
Series: | CFR working paper. - Köln. - Vol. 06,03 |
Type of publication: | Book / Working Paper |
Language: | English |
Notes: | Zsfass. in dt. u. engl. Sprache |
Classification: | Investition, Finanzierung |
Source: |
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Bodie, Zvi, (2005)
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Management von Zinsänderungschancen und -risiken
Wondrak, Bernhard, (1986)
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Spremann, Klaus, (2005)
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Bond Portfolio Optimization: A Risk-Return Approach
Korn, Olaf,
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Bond portfolio optimization: A risk-return approach
Korn, Olaf, (2006)
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Bond portfolio optimization: A risk-return approach
Korn, Olaf, (2006)
- More ...