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Portfolio selection 13 Portfolio-Management 13 Theorie 12 Theory 12 Asset management 3 Vermögensverwaltung 3 Anlageverhalten 2 Behavioural finance 2 Hedge fund 2 Hedgefonds 2 Mathematical programming 2 Mathematische Optimierung 2 Pension fund 2 Pensionskasse 2 Risikomanagement 2 Risk management 2 Welt 2 World 2 Algorithm 1 Algorithmus 1 Anleihe 1 Bayes-Statistik 1 Bayesian inference 1 Beta risk 1 Betafaktor 1 Bond 1 Bootstrap approach 1 Bootstrap-Verfahren 1 CAPM 1 Capital income 1 Corporate Governance 1 Corporate governance 1 Decentralization 1 Decision 1 Dezentralisierung 1 Electronic trading 1 Elektronisches Handelssystem 1 Entscheidung 1 Estimation 1 Factor analysis 1
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Undetermined 21
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Article 21
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Aufsatz im Buch 21 Book section 21
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English 21
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Winston, Kenneth 3 Scherer, Bernd 2 Bailer, Heiko M. 1 Brandes, Yossi 1 Brandt, Michael W. 1 Breedon, Francis 1 Ceria, Sebastián 1 Dibartolomeo, Dan 1 Domowitz, Ian 1 Giamouridis, Daniel 1 Harvey, Campbell R. 1 Hewett, Thomas 1 Jacobs, Bruce I. 1 Jules Binsbergen, Jules H. van 1 Kolm, Petter N. 1 Kosowski, Robert 1 Kritzman, Mark 1 Levy, Kenneth N. 1 Liechty, John C. 1 Liechty, Merrill W. 1 Maclin, Lee 1 Maravina, Tatiana A. 1 Martin, R. Douglas 1 Myrgren, Simon 1 O’Cinneide, Colm 1 Page, Sebastien 1 Peskin, Michael 1 Ralph Koijen, Ralph S. J. 1 Roy Hoevenaars, Roy P. M. M. 1 Serbin, Vitaly 1 Skiadopoulos, George 1 Starer, David 1 Tuchschmid, Nils 1 Tutuncu, Reha H. 1 Wallerstein, Erik 1 Wolf, Michael 1 Wunderli, Dan 1 Xu, Xiaodong 1 Zaker, Sassan 1
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The Oxford handbook of quantitative asset management 21
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ECONIS (ZBW) 21
Showing 1 - 10 of 21
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Adding the Time Dimension: Optimal Rebalancing
Kritzman, Mark; Myrgren, Simon; Page, Sebastien - In: The Oxford handbook of quantitative asset management. 2012
Persistent link: https://www.econbiz.de/10012882299
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Algorithmic Trading, Optimal Execution, and Dynamic Portfolios
Kolm, Petter N.; Maclin, Lee - In: The Oxford handbook of quantitative asset management. 2012
Persistent link: https://www.econbiz.de/10012882300
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Asset Liability Management for Sovereign Wealth Funds
Breedon, Francis; Kosowski, Robert - In: The Oxford handbook of quantitative asset management. 2012
Persistent link: https://www.econbiz.de/10012882301
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Bayesian Methods in Investing
O’Cinneide, Colm - In: The Oxford handbook of quantitative asset management. 2012
Persistent link: https://www.econbiz.de/10012882302
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Decentralized Decision Making in Investment Management
Jules Binsbergen, Jules H. van; Brandt, Michael W.; … - In: The Oxford handbook of quantitative asset management. 2012
Persistent link: https://www.econbiz.de/10012882303
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Equity Factor Models: Estimation and Extensions
Dibartolomeo, Dan - In: The Oxford handbook of quantitative asset management. 2012
Persistent link: https://www.econbiz.de/10012882304
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Fixed Income Investment Risk
Winston, Kenneth - In: The Oxford handbook of quantitative asset management. 2012
Persistent link: https://www.econbiz.de/10012882305
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Fund-of-Funds Construction by Statistical Multiple Testing Methods
Wolf, Michael; Wunderli, Dan - In: The Oxford handbook of quantitative asset management. 2012
Persistent link: https://www.econbiz.de/10012882306
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Hedge Fund Clones
Tuchschmid, Nils; Wallerstein, Erik; Zaker, Sassan - In: The Oxford handbook of quantitative asset management. 2012
Persistent link: https://www.econbiz.de/10012882307
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Parameter Uncertainty in Asset Allocation
Harvey, Campbell R.; Liechty, John C.; Liechty, Merrill W. - In: The Oxford handbook of quantitative asset management. 2012
Persistent link: https://www.econbiz.de/10012882309
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