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  • Search: subject:"INVESTMENT STRATEGY"
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Year of publication
Subject
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investment strategy 157 Portfolio-Management 148 Portfolio selection 146 Investment strategy 103 Anlageverhalten 85 Behavioural finance 84 Theorie 71 Theory 70 Capital income 48 Financial investment 48 Kapitalanlage 48 Kapitaleinkommen 48 Investment Strategy 25 Investment decision 24 Börsenkurs 23 Investitionsentscheidung 23 Share price 23 Stock market 22 Aktienmarkt 21 Financial analysis 21 Finanzanalyse 21 Investment 20 Investmentfonds 20 Investition 19 Investment Fund 19 China 18 INVESTMENT STRATEGY 17 Forecasting model 16 Pension fund 15 Pensionskasse 15 Prognoseverfahren 15 Stochastic process 15 Stochastischer Prozess 15 Foreign investment 14 Volatility 14 Altersvorsorge 13 Retirement provision 13 ИНВЕСТИЦИОННАЯ СТРАТЕГИЯ 13 Auslandsinvestition 12 Institutional investor 12
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Online availability
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Free 200 Undetermined 144 CC license 23
Type of publication
All
Article 310 Book / Working Paper 98
Type of publication (narrower categories)
All
Article in journal 187 Aufsatz in Zeitschrift 187 Working Paper 45 Arbeitspapier 28 Graue Literatur 28 Non-commercial literature 28 Article 13 research-article 7 Thesis 3 Aufsatz im Buch 2 Book section 2 Aufsatzsammlung 1 Hochschulschrift 1 conceptual-paper 1 non-article 1 review-article 1
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Language
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English 267 Undetermined 131 German 7 French 1 Russian 1 Spanish 1
Author
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Fortin, Ines 9 Hlouskova, Jaroslava 9 Blake, David 8 Filbeck, Greg 8 Wright, Douglas 7 Zhang, Yumeng 7 Zhao, Xin 7 Antonietti, Roberto 5 Marzucchi, Alberto 5 Viens, Frederi G. 5 Dreger, Christian 4 Gu, Ailing 4 Hoesli, Martin 4 Holz, Carsten A. 4 Lai, Rose Neng 4 Li, Zhongfei 4 Newell, Graeme 4 Schanbacher, Peter 4 Schüller, Margot 4 Witzany, Jiří 4 Zeng, Yan 4 Ślepaczuk, Robert 4 Blöschl, Günter 3 Chen, Jing 3 Dietzel, Marian 3 Grames, Johanna 3 Grass, Dieter 3 Ivanyuk, Vera 3 Jufri Marzuki 3 Rinne, Kalle 3 Rochdi, Karim 3 Santos, Francisco 3 Schüler-Zhou, Yun 3 Suominen, Matti 3 Viglione, Alberto 3 Wang, Jian 3 Yang, Jun 3 Yi, Bo 3 Aivaliotis, Georgios 2 Ali, Rizwan 2
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Institution
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International Monetary Fund (IMF) 12 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 11 International Monetary Fund 6 Centrum voor Sociaal Beleid - Herman Deleeck, Universiteit Antwerpen 2 Department of Economics and Finance Research and Teaching, Institut für Höhere Studien (IHS) 2 Université Paris-Dauphine (Paris IX) 2 Bank of Greece 1 Centre Emile Bernheim, Solvay Brussels School of Economics and Management 1 Copenhagen Business School 1 Department of Agricultural Economics, Purdue University 1 EconWPA 1 Facoltà di Economia, Università degli Studi di Parma 1 Finance Discipline Group, Business School 1 Fondazione ENI Enrico Mattei (FEEM) 1 Frankfurt School of Finance and Management 1 Helmut-Schmidt-Universität/Universität der Bundeswehr Hamburg / Fächergruppe Volkswirtschaftslehre 1 INGENIO 1 Institut ekonomických studií, Univerzita Karlova v Praze 1 Luxembourg School of Finance, Faculté de droit, d'économie et de finance 1 Russian Presidential Academy of National Economy and Public Administration (RANEPA) 1 School of Economics and Finance, Victoria Business School 1 Seminar für Wirtschafts- und Sozialstatistik, Wirtschafts- und Sozialwissenschaftliche Fakultät 1 Sonderforschungsbereich 373, Quantifikation und Simulation ökonomischer Prozesse, Wirtschaftswissenschaftliche Fakultät 1 Swiss Finance Institute 1 ToKnowPress 1 de Nederlandsche Bank 1
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Published in...
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MPRA Paper 11 Insurance / Mathematics & economics 10 IMF Staff Country Reports 6 IMF Working Papers 5 Discussion papers in economics and business 4 Finance research letters 4 Insurance: Mathematics and Economics 4 Journal of Risk and Financial Management 4 Journal of mathematical finance 4 Journal of risk and financial management : JRFM 4 Working papers 4 Бизнес в законе. Экономико-юридический журнал 4 Business Inform 3 Economies : open access journal 3 International Journal of Sustainable Economy 3 Mathematical methods of operations research 3 The journal of asset management 3 Theoretical and Applied Economics 3 Transportation research / E : an international journal 3 Бизнес Информ 3 Вестник Волгоградского государственного университета. Серия 3: Экономика. Экология 3 Известия Тульского государственного университета. Экономические и юридические науки 3 CESifo Working Paper 2 Ecological economics : the transdisciplinary journal of the International Society for Ecological Economics 2 Economics Papers from University Paris Dauphine 2 Economics Series / Department of Economics and Finance Research and Teaching, Institut für Höhere Studien (IHS) 2 Emerging markets finance & trade : a journal of the Society for the Study of Emerging Markets 2 Energy economics 2 European journal of operational research : EJOR 2 Financial innovation : FIN 2 Financial markets and portfolio management 2 Frankfurt School - Working Paper Series 2 IES Working Paper 2 International Journal of Computational Economics and Econometrics 2 International Journal of Financial Studies : open access journal 2 International journal of business and economics research : IJBER 2 International review of economics & finance : IREF 2 Jahrbücher für Nationalökonomie und Statistik 2 Journal of Economic Dynamics and Control 2 Journal of Property Investment & Finance 2
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Source
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ECONIS (ZBW) 221 RePEc 140 EconStor 30 Other ZBW resources 10 BASE 7
Showing 81 - 90 of 408
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ESG as a key pillar of investment strategy
Ingebretsen, Eigil - In: Journal of securities operations & custody 16 (2023) 1, pp. 57-69
Persistent link: https://www.econbiz.de/10014449019
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The distribution of cross sectional momentum returns when underlying asset returns are student's t distributed
Kwon, Oh Kang; Satchell, Stephen - In: Journal of Risk and Financial Management 13 (2020) 2, pp. 1-19
In Kwon and Satchell (2018), a theoretical framework was introduced to investigate the distributional properties of the cross-sectional momentum returns under the assumption that the vector of asset returns over the ranking and holding periods were multivariate normal. In this paper, the...
Persistent link: https://www.econbiz.de/10012611257
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CAN FINANCIAL LITERACY DRIVE ACTIVE INVESTMENT STRATEGY? EVIDENCE FROM UNDERDEVELOPED CAPITAL MARKET
Okicic, Jasmina - 2020
investment strategy of individual investors from the underdeveloped capital market of Bosnia and Herzegovina. The OECD INFE Core …, financial behaviour and financial knowledge on active investment strategy. Findings suggest that active investment approach may …
Persistent link: https://www.econbiz.de/10012230981
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Establishing the risk denominator in a Sharpe ratio framework for share selection from a momentum investment strategy approach
Van Heerden, Chris - In: South African journal of economic and management sciences 23 (2020) 1, pp. 1-19
Persistent link: https://www.econbiz.de/10012287203
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Optimal control of investment, premium and deductible for a non-life insurance company
Christensen, Bent Jesper; Parra-Alvarez, Juan Carlos; … - 2020
Persistent link: https://www.econbiz.de/10012318220
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The distribution of cross sectional momentum returns when underlying asset returns are student’s t distributed
Kwon, Oh Kang; Satchell, Stephen - In: Journal of risk and financial management : JRFM 13 (2020) 2/27, pp. 1-19
In Kwon and Satchell (2018), a theoretical framework was introduced to investigate the distributional properties of the cross-sectional momentum returns under the assumption that the vector of asset returns over the ranking and holding periods were multivariate normal. In this paper, the...
Persistent link: https://www.econbiz.de/10012173937
Saved in:
Cover Image
CAN FINANCIAL LITERACY DRIVE ACTIVE INVESTMENT STRATEGY? EVIDENCE FROM UNDERDEVELOPED CAPITAL MARKET
Okicic, Jasmina - 2020
investment strategy of individual investors from the underdeveloped capital market of Bosnia and Herzegovina. The OECD INFE Core …, financial behaviour and financial knowledge on active investment strategy. Findings suggest that active investment approach may …
Persistent link: https://www.econbiz.de/10015335895
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Multi-period investment strategies under cumulative prospect theory
Deng, Liurui; Pirvu, Traian A. - In: Journal of Risk and Financial Management 12 (2019) 2, pp. 1-15
In this article, inspired by Shi et al., we investigate the optimal portfolio selection with one risk-free asset and one risky asset in a multiple period setting under the cumulative prospect theory (CPT) risk criterion. Compared with their study, our novelty is that we consider a stochastic...
Persistent link: https://www.econbiz.de/10012611115
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Hybrid investment strategy based on momentum and macroeconomic approach
Korzén, Kamil; Ślepaczuk, Robert - 2019
Persistent link: https://www.econbiz.de/10012196602
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Forecasting foreign exchange rate movements with k-Nearest-Neighbor, ridge regression and feed-forward neural networks
Fičura, Milan - 2019
Persistent link: https://www.econbiz.de/10012225722
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