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  • Search: subject:"portfolio allocation"
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Year of publication
Subject
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Portfolio-Management 217 Portfolio selection 211 portfolio allocation 169 Portfolio allocation 127 Theorie 97 Theory 94 Kapitaleinkommen 64 Anlageverhalten 63 Capital income 63 Behavioural finance 59 Volatility 43 Portfolio Allocation 40 Volatilität 37 Financial investment 34 Kapitalanlage 34 Foreign portfolio investment 25 Korrelation 25 Portfolio-Investition 25 Privater Haushalt 25 Risiko 25 Risk 25 Correlation 24 Forecasting model 23 Prognoseverfahren 23 Household 22 Risikoaversion 20 Risk aversion 19 Schätztheorie 18 Schätzung 18 Estimation 17 Estimation theory 17 Welt 17 Aktienmarkt 16 Stock market 16 ARCH model 15 ARCH-Modell 15 Investment Fund 15 Investmentfonds 15 Mathematical programming 15 Mathematische Optimierung 15
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Online availability
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Free 197 Undetermined 176 CC license 9
Type of publication
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Article 216 Book / Working Paper 187 Other 3
Type of publication (narrower categories)
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Article in journal 157 Aufsatz in Zeitschrift 157 Working Paper 93 Graue Literatur 55 Non-commercial literature 55 Arbeitspapier 53 Aufsatz im Buch 5 Book section 5 research-article 5 Article 3 Conference paper 2 Konferenzbeitrag 2 Collection of articles of several authors 1 Conference Paper 1 Hochschulschrift 1 Research Report 1 Sammelwerk 1 Thesis 1 review-article 1
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Language
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English 300 Undetermined 102 German 3 French 1
Author
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Black, Sandra E. 10 Devereux, Paul J. 10 Lundborg, Petter 10 Majlesi, Kaveh 10 Fortin, Ines 9 Hlouskova, Jaroslava 9 Corradin, Stefano 7 Huizinga, Harry 7 Laeven, Luc 7 Mitchell, Olivia S. 7 Timmer, Yannick 7 Betermier, Sebastien 6 Silvennoinen, Annastiina 6 Sodini, Paolo 6 Basten, Christoph 5 Cai, Fang 5 Calvet, Laurent E. 5 Chatterjee, Swarn 5 Clements, Adam 5 Diebold, Francis X. 5 Fagereng, Andreas 5 Gropp, Reint 5 Medeiros, Marcelo C. 5 Telle, Kjetil 5 Warnock, Francis E. 5 Cerny, Ales 4 Elkamhia, Redouane 4 Favero, Carlo A. 4 Gollier, Christian 4 Miles, David K 4 Muermann, Alexander 4 Oikarinen, Elias 4 Paiella, Monica 4 Palmer, Lance 4 Roffia, Barbara 4 Schanbacher, Peter 4 Stefanova, Denitsa 4 Tsigaris, Panagiotis Demetrios 4 Van Wincoop, Eric 4 Wills, Samuel 4
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Institution
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C.E.P.R. Discussion Papers 11 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 8 National Centre for Econometric Research (NCER) 6 Banca d'Italia 4 Center for Financial Studies 4 Econometric Society 3 Department of Economics, National University of Ireland 2 European Central Bank 2 Institute for International Integration Studies (IIIS), Trinity College Dublin 2 Tilburg University, Center for Economic Research 2 Tinbergen Instituut 2 CESifo 1 Centre Interuniversitaire de Recherche en Analyse des Organisations (CIRANO) 1 Centre Interuniversitaire sur le Risque, les Politiques Économiques et l'Emploi (CIRPÉE) 1 Centro Ricerche Nord Sud (CRENoS) 1 Centro Studi di Economia e Finanza (CSEF) 1 Crawford School of Public Policy, Australian National University 1 Deakin University, Faculty of Business and Law, School of Accounting, Economics and Finance 1 Departamento de Estadistica, Universidad Carlos III de Madrid 1 Department of Economics, Boston College 1 Department of Economics, McMaster University 1 Department of Economics, Oxford University 1 Department of Economics, University of Pennsylvania 1 Deutsche Bundesbank 1 Dipartimento di Economia, Università Ca' Foscari Venezia 1 Dipartimento di Scienze per l'Economia e l'Impresa, Università degli Studi di Firenze 1 ESRC Centre for Business Research 1 EconWPA 1 European Centre for Advanced Research in Economics and Statistics (ECARES), Solvay Brussels School of Economics and Management 1 Facoltà di Economia, Università degli Studi dell'Insubria 1 HEC Paris (École des Hautes Études Commerciales) 1 Hong Kong Institute for Monetary Research (HKIMR), Government of Hong Kong 1 Institut de Préparation à l'Administration et à la Gestion (IPAG) 1 Institut für Weltwirtschaft (IfW) 1 Institute for the Study of Labor (IZA) 1 Institutionen för Nationalekonomi, Umeå Universitet 1 International Centre for Economic Research (ICER) 1 KOF Swiss Economic Institute, Department of Management, Technology and Economics (D-MTEC) 1 Networks Financial Institute, Scott College of Business 1 Oxford Centre for the Analysis of Resource-Rich Economies (OxCarre), Department of Economics 1
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Published in...
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CEPR Discussion Papers 12 Quantitative finance 9 Finance research letters 8 MPRA Paper 8 CFS Working Paper Series 6 NCER Working Paper Series 6 Discussion paper / Tinbergen Institute 5 IZA Discussion Papers 5 Insurance 5 Tinbergen Institute Discussion Paper 5 CFS working paper series 4 European journal of operational research : EJOR 4 International review of financial analysis 4 Journal of business & economic statistics : JBES ; a publication of the American Statistical Association 4 Research paper series / Swiss Finance Institute 4 Temi di discussione (Economic working papers) 4 Annals of financial economics 3 CFS Working Paper 3 Discussion paper series / IZA 3 ECB Working Paper 3 International journal of theoretical and applied finance 3 Journal of banking & finance 3 Journal of econometrics 3 Journal of empirical finance 3 Journal of money, credit and banking : JMCB 3 SAFE working paper 3 The North American journal of economics and finance : a journal of financial economics studies 3 Tinbergen Institute Discussion Papers 3 Working Paper 3 Working paper series 3 Working papers 3 Agricultural Finance Review 2 Annals of economics and finance 2 Applied economics 2 Applied economics letters 2 Australian Journal of Management 2 CESifo Working Paper 2 CESifo working papers 2 Discussion Paper / Tilburg University, Center for Economic Research 2 Discussion paper 2
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Source
All
ECONIS (ZBW) 221 RePEc 131 EconStor 45 Other ZBW resources 6 BASE 3
Showing 311 - 320 of 406
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On the network topology of variance decompositions : measuring the connectedness of financial firms
Diebold, Francis X.; Yılmaz, Kamil - In: Journal of econometrics 182 (2014) 1, pp. 119-134
Persistent link: https://www.econbiz.de/10010497110
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Who are the value and growth investors?
Betermier, Sebastien; Calvet, Laurent E.; Sodini, Paolo - 2014
This paper investigates value and growth investing in a large administrative panel of Swedish residents. We show that over the life-cycle, households progressively shift from growth to value as they become older and their balance sheets improve. Furthermore, investors with high human capital and...
Persistent link: https://www.econbiz.de/10010499712
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Intertemporal portfolio allocationn and hedging demand : an application to South Africa
Van Wyk de Vries, Esti; Gupta, Rangan; Van Eyden, Reneé - In: Journal of business economics and management 15 (2014) 4, pp. 744-775
Persistent link: https://www.econbiz.de/10010415874
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Combining portfolio models
Schanbacher, Peter - In: Annals of economics and finance 15 (2014) 2, pp. 433-455
Persistent link: https://www.econbiz.de/10010481154
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Who are the value and growth investors?
Betermier, Sebastien; Calvet, Laurent E.; Sodini, Paolo - 2014
This paper investigates the determinants of value and growth investing in a large administrative panel of Swedish residents over the 1999-2007 period. We document strong relationships between a household's portfolio tilt and the household's financial and demographic characteristics. Value...
Persistent link: https://www.econbiz.de/10010343406
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Comment on "skewness-aware asset allocation"
Bae, Kwangil - In: Mathematical finance : an international journal of … 24 (2014) 2, pp. 403-410
Persistent link: https://www.econbiz.de/10010357368
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International capital flows
Tille, Cédric; Van Wincoop, Eric - 2007
The sharp increase in both gross and net international capital flows over the past two decades has prompted renewed interest in their determinants. Most existing theories of international capital flows are based on one-asset models, which have implications only for net capital flows, not for...
Persistent link: https://www.econbiz.de/10010283297
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The forgone gains of incomplete portfolios
Paiella, Monica - Banca d'Italia - 2007
This paper proposes a test for the cost-based explanation of non-participation, by estimating a lower bound to the forgone gains of incomplete portfolios; these are in turn a lower bound to the costs that could rationalize non-participation in financial markets: high bounds would imply...
Persistent link: https://www.econbiz.de/10005113553
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Simultaneity and Asymmetry of Returns and Volatilities in the Emerging Baltic State Stock Exchanges
Brännäs, Kurt; G De Gooijer, Jan; Lönnbark, Carl; … - Institutionen för Nationalekonomi, Umeå Universitet - 2007
The paper suggests a nonlinear and multivariate time series model framework that enables the study of simultaneity in returns and in volatilities, as well as asymmetric effects arising from shocks and an outside stock exchange. Using daily data 2000-2006 for the Baltic state stock exchanges and...
Persistent link: https://www.econbiz.de/10005198022
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Changes in Homeowners’ Financial Security during the Recent Housing and Mortgage Boom
Sabatini, Kate; Weller, Christian E. - Political Economy Research Institute (PERI), University … - 2007
From the late 1990s through 2005, the U.S. experienced an unprecedented housing boom, which boosted the asset values of many families. This meant, on the one hand, that families with homes had more collateral to borrow against, but it also meant that new home buyers needed to take out larger...
Persistent link: https://www.econbiz.de/10005070046
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