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  • Search: subject:"“portfolio” theory"
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Year of publication
Subject
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Portfolio-Management 51,057 Portfolio selection 51,049 Theorie 22,021 Theory 22,015 Capital income 9,158 Kapitaleinkommen 9,158 Anlageverhalten 8,750 Behavioural finance 8,734 Risk 6,439 Risiko 6,387 Investmentfonds 5,429 Investment Fund 5,415 CAPM 4,721 Kapitalanlage 4,674 Risikomanagement 4,565 Financial investment 4,546 Risk management 4,433 Börsenkurs 3,661 Share price 3,654 Welt 3,516 World 3,516 Risikomaß 3,127 Risk measure 3,126 USA 2,947 Volatilität 2,917 United States 2,913 Volatility 2,913 Aktienmarkt 2,897 Schätzung 2,893 Estimation 2,892 Stock market 2,876 Hedging 2,607 Financial market 2,122 Finanzmarkt 2,121 Finanzanalyse 2,049 Financial analysis 2,013 Institutional investor 1,962 Institutioneller Investor 1,962 Mathematical programming 1,952 Mathematische Optimierung 1,952
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Online availability
All
Free 17,925 Undetermined 12,859 CC license 892
Type of publication
All
Article 27,474 Book / Working Paper 23,818 Journal 63 Other 2
Type of publication (narrower categories)
All
Article in journal 24,449 Aufsatz in Zeitschrift 24,449 Graue Literatur 6,890 Non-commercial literature 6,890 Working Paper 6,308 Arbeitspapier 6,287 Aufsatz im Buch 2,467 Book section 2,467 Hochschulschrift 1,581 Thesis 1,249 Collection of articles of several authors 507 Sammelwerk 507 Lehrbuch 436 Textbook 402 Aufsatzsammlung 273 Collection of articles written by one author 256 Sammlung 256 Bibliografie enthalten 214 Bibliography included 214 Ratgeber 159 Handbook 154 Handbuch 154 Conference paper 150 Konferenzbeitrag 150 Glossar enthalten 132 Glossary included 132 Guidebook 125 Konferenzschrift 121 Case study 88 Fallstudie 88 Conference proceedings 81 Reprint 52 Systematic review 51 Übersichtsarbeit 51 Mikroform 40 Bibliografie 36 Amtsdruckschrift 32 Government document 32 Forschungsbericht 26 Article 23
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Language
All
English 48,463 German 2,292 Undetermined 189 French 182 Italian 67 Spanish 59 Polish 43 Dutch 25 Swedish 14 Hungarian 13 Russian 13 Portuguese 9 Danish 7 Finnish 7 Czech 4 Slovak 4 Serbian 4 Arabic 2 Bulgarian 2 Lithuanian 2 Norwegian 2 Afrikaans 1 Croatian 1 Turkish 1
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Author
All
Fabozzi, Frank J. 249 Maurer, Raimond 134 Mitchell, Olivia S. 124 Guidolin, Massimo 101 Platen, Eckhard 96 Zaremba, Adam 95 Satchell, Stephen 86 Campbell, John Y. 85 Lo, Andrew W. 80 Ang, Andrew 75 Hens, Thorsten 74 McAleer, Michael 74 Gollier, Christian 72 Uppal, Raman 68 Wong, Wing Keung 67 Kraft, Holger 62 Markowitz, Harry 60 Stambaugh, Robert F. 60 Schenk-Hoppé, Klaus Reiner 59 Lee, Cheng F. 58 Weber, Martin 58 Wermers, Russ 58 Levy, Haim 56 Kelly, Bryan T. 55 Korn, Ralf 55 Post, Thierry 55 Bodie, Zvi 53 Viceira, Luis M. 53 Prigent, Jean-Luc 52 Zagst, Rudi 52 Zhou, Guofu 52 Blake, David 51 Van Wincoop, Eric 50 Lucas, André 49 Härdle, Wolfgang 48 Bali, Turan G. 47 Clare, Andrew D. 47 Hammoudeh, Shawkat 47 Li, Duan 47 Račev, Svetlozar T. 47
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Institution
All
National Bureau of Economic Research 607 OECD 35 Institute of Finance and Accounting <London> 20 Frank J. Fabozzi Associates <New Hope, Pa.> 15 Sonderforschungsbereich Quantifikation und Simulation Ökonomischer Prozesse 14 World Bank 13 Rodney L. White Center for Financial Research 12 Springer Fachmedien Wiesbaden 12 Basel Committee on Banking Supervision 11 Fisher Investments Inc. <Woodside, Calif.> 11 World Bank Group 11 CFA Institute <Charlottesville, Va.> 10 Center for Economic Research <Tilburg> 10 Institut für Volkswirtschaftslehre, Wirtschaftswissenschaftliche Fakutät 10 International Center for Financial Asset Management and Engineering 10 Universität Zürich / Institut für Schweizerisches Bankwesen 10 Ekonomiska forskningsinstitutet <Stockholm> 9 Erasmus Research Institute of Management 9 European Innovation Council and SMEs Executive Agency 9 Pensions Institute 9 Université catholique de Louvain / Institut de recherches économiques et sociales <1941-1960> 9 FinanzBuch Verlag 8 Goethe-Universität Frankfurt am Main 8 European University Institute / Department of Law 7 Fachverlag für Wirtschafts- und Steuerrecht Schäffer <Stuttgart> 7 Friedrich-Schiller-Universität Jena 7 Universität Mannheim 7 Centre for Economic Policy Research 6 Federal Reserve Bank of St. Louis 6 Institut für Finanzdienstleistungen Zug 6 Lunds Universitet / Nationalekonomiska Institutionen 6 Springer International Publishing 6 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 6 Association for Investment Management and Research 5 Association of European Operational Research Societies / Working Group on Financial Modelling 5 Börsen-Buchverlag 5 Chambre de commerce et d'industrie de Paris 5 Christian-Albrechts-Universität zu Kiel / Institut für Weltwirtschaft 5 European Central Bank 5 International Association for the Study of Insurance Economics 5
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Published in...
All
Journal of banking & finance 670 Finance research letters 621 NBER working paper series 603 Working paper / National Bureau of Economic Research, Inc. 481 NBER Working Paper 441 European journal of operational research : EJOR 440 Insurance / Mathematics & economics 419 International review of financial analysis 372 Journal of financial economics 338 The journal of portfolio management : a publication of Institutional Investor 291 Journal of economic dynamics & control 268 The journal of asset management 268 Research paper series / Swiss Finance Institute 262 Management science : journal of the Institute for Operations Research and the Management Sciences 255 International review of economics & finance : IREF 250 Journal of empirical finance 250 Applied economics 249 The journal of finance : the journal of the American Finance Association 246 International journal of theoretical and applied finance 234 Quantitative finance 227 Pacific-Basin finance journal 219 Discussion paper / Centre for Economic Policy Research 214 The European journal of finance 210 Finance and stochastics 209 Risks : open access journal 204 Economic modelling 202 The North American journal of economics and finance : a journal of financial economics studies 195 The review of financial studies 193 Economics letters 188 Journal of financial and quantitative analysis : JFQA 186 Research in international business and finance 186 SpringerLink / Bücher 183 Journal of risk and financial management : JRFM 179 Mathematical finance : an international journal of mathematics, statistics and financial theory 179 Journal of international financial markets, institutions & money 173 Applied economics letters 172 The journal of investing 169 Swiss Finance Institute Research Paper 168 Discussion papers / CEPR 165 Journal of investment management : JOIM 162
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Source
All
ECONIS (ZBW) 51,059 RePEc 217 EconStor 46 Other ZBW resources 20 BASE 15
Showing 201 - 210 of 51,357
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Introduction to the special issue on derivative applications in asset management
Jong, Marielle de - In: The journal of asset management : a major new, … 25 (2024) 6, pp. 529-530
Persistent link: https://www.econbiz.de/10015192345
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Strong vs. stable : the impact of ESG ratings momentum and their volatility on the cost of equity capital
Magnani, Monia; Guidolin, Massimo; Berk, Ian - In: The journal of asset management : a major new, … 25 (2024) 7, pp. 666-699
Persistent link: https://www.econbiz.de/10015192396
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Wealth and familiarity bias : sin stocks investment in Europe
Hamdan, Mohammed; Fernandez Calavia, Pedro; Aminu, Nasir - In: The journal of asset management : a major new, … 25 (2024) 7, pp. 714-725
Persistent link: https://www.econbiz.de/10015192401
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Inflation hedging via tracking portfolios in the BRICS markets
Meshram, Vedprakash; Lalwani, Vaibhav - In: Cogent economics & finance 12 (2024) 1, pp. 1-16
This study investigates the creation of portfolios that effectively hedge against inflation in the context of the stock markets of Brazil, Russia, India, China, and South Africa (BRICS). Utilizing Ordinary Least Squares (OLS), Ridge, MM, and Quantile regressions, we construct portfolios that...
Persistent link: https://www.econbiz.de/10015192402
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On shrinkage covariance estimators : how inefficient is 1/N strategy of covariance estimation for portfolio selection in foreign exchange market?
Husnain, Muhammad; Ali, Shamrez; Munir, Qaiser; … - In: Cogent economics & finance 12 (2024) 1, pp. 1-21
We investigate portfolio selection performance as in Markowitz by evaluating variance matrix estimation criteria in the currency market. This study challenges theoretically rigorous shrinkage covariance estimators using multiple evaluation metrics: systematic loss function, risk profile of...
Persistent link: https://www.econbiz.de/10015192454
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Navigating market volatility : risk and return insights from Indian mutual funds
Malhotra, Davinder Kumar; Singh, Rahul; Ramani, L. - In: Cogent economics & finance 12 (2024) 1, pp. 1-21
This study evaluates Indian mutual funds using a variety of criteria, demonstrating a historical tendency of lower monthly returns and volatility when compared to benchmark indexes. This positive risk profile implies that it will appeal to investors who want stability. Despite COVID-19-induced...
Persistent link: https://www.econbiz.de/10015192483
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Fund-level FX hedging redux
Bräuer, Leonie; Hau, Harald - 2024
Persistent link: https://www.econbiz.de/10015192715
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From credit spread of CoCo bonds to franchise value
Chen, Jiacheng; Farkas, Walter - 2024
Persistent link: https://www.econbiz.de/10015192730
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The demand for safe assets
Cavaleri, Filippo; Ranaldo, Angelo; Rossi, Enzo - 2024
Persistent link: https://www.econbiz.de/10015192741
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Benefits and drawbacks of the cost average plan as an alternative investment strategy in EMU countries
Vasileiou, Evangelos; Hadad, Elroi - In: Cogent economics & finance 12 (2024) 1, pp. 1-19
This study explores long-term investment strategies for individuals in European countries who have limited initial capital and may have no expertise in financial economics. We compare three strategies-Cost Average Plan (CAP), Bank Deposits Plan (BDP), and Buy and Hold (BnH)-by analyzing their...
Persistent link: https://www.econbiz.de/10015193095
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