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  • Search: subject:"portfolio structure"
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Year of publication
Subject
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portfolio structure 7 Portfolio selection 6 Portfolio-Management 6 Portfolio structure 3 Theorie 3 Theory 3 credit portfolio structure 3 stress-testing 3 Bank liquidity 2 Bank risk 2 Bankenliquidität 2 Bankrisiko 2 Basel Accord 2 Basler Akkord 2 Credit risk 2 EU countries 2 EU-Staaten 2 Euro area 2 Eurozone 2 Kreditrisiko 2 Momentum return 2 Portfolio investment 2 Return metrics 2 Return on investment 2 Risikomanagement 2 Risikomaß 2 Risk management 2 Risk measure 2 Risk weighted exposure 2 Stress test 2 Stresstest 2 balanced funds 2 countercyclical capital buffer 2 financial wealth 2 household 2 loss aversion 2 Agency theory 1 Asset management 1 Asset-liability management 1 Bank 1
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Online availability
All
Free 13 Undetermined 5 CC license 1
Type of publication
All
Article 10 Book / Working Paper 8
Type of publication (narrower categories)
All
Article in journal 6 Aufsatz in Zeitschrift 6 Working Paper 4 Arbeitspapier 2 Graue Literatur 2 Non-commercial literature 2 research-article 1
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Language
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English 15 Undetermined 3
Author
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Devaney, Steven 2 Gupta, Kartick 2 Locke, Stuart 2 Panoš, Jiří 2 Ramb, Fred 2 Scharnagl, Michael 2 Scrimgeour, Frank 2 Siuda, Vojtěch 2 Švéda, Josef 2 ALEXANDRU, Antoniade-Ciprian 1 Alexandru, Ciprian Antoniade 1 CARAGEA, Nicoleta 1 Csizmadia, Tibor 1 Essien, Joseph Michael 1 Katona, Attila I. 1 Kisgyörgy-Pál, Mária 1 Kosztyán, Zsolt T. 1 Kuppens, Kurt 1 Lizieri, Colin 1 MIRDALA, Rajmund 1 Ma, Yongjun 1 Michael, Emmanuel I. 1 Nachbagauer, Andreas 1 Novák, Zsuszanna 1 Orlovits, Zsanett 1 Panos, Jiri 1 Rupprecht, Manuel 1 Siuda, Vojtech 1 Spatt, Chester S. 1 Sveda, Josef 1 Tatay, Tibor 1 Ubom, Uduak B. 1 Wang, Xi 1
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Institution
All
Henley Business School, University of Reading 2 European Central Bank 1 Volkswirtschaftliche Fakultät, Ludwig-Maximilians-Universität München 1
Published in...
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International Journal of Managerial Finance 2 Real Estate & Planning Working Papers 2 Annual review of financial economics 1 ECB Working Paper 1 Empirica : journal of european economics 1 Expert journal of finance 1 Finance research letters 1 Graduate Institute of International and Development Studies Working Paper 1 Journal of Applied Economic Sciences 1 MPRA Paper 1 Risks : open access journal 1 Technological forecasting & social change : an international journal 1 Theoretical and Applied Economics 1 Working Paper Series / European Central Bank 1 Working paper / Graduate Institute of International and Development Studies 1 Working paper series / Czech National Bank 1
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Source
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ECONIS (ZBW) 8 RePEc 7 EconStor 2 Other ZBW resources 1
Showing 11 - 18 of 18
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Financial Crisis from the Trust and Loss Aversion Perspective in Emerging Romanian Capital Market
ALEXANDRU, Antoniade-Ciprian; CARAGEA, Nicoleta - In: Theoretical and Applied Economics XVIII(2011) (2011) 7(560), pp. 101-110
study, based on efficient market theory, the evolution of portfolio structure in balanced funds. We are interesting to make …
Persistent link: https://www.econbiz.de/10009191030
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Household's portfolio structure in Germany - analysis of financial accounts data 1959-2009
Ramb, Fred; Scharnagl, Michael - European Central Bank - 2011
Based on a Financial Almost Ideal Demand System (FAIDS), this paper investigates the wealth structure of German households. The long-run wealth elasticities and interestrate elasticities were calculated using a unique new quarterly financial accounts macrodata set which covers the period from...
Persistent link: https://www.econbiz.de/10009149022
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FINANCIAL INTEGRATION AND FINANCIAL DEEPENING IN THE SELECTED EUROPEAN TRANSITION ECONOMIES
MIRDALA, Rajmund - In: Journal of Applied Economic Sciences 3 (2008) 4(6)_Winter2008
International financial integration of transition countries from the region of Central, Eastern and South�Eastern Europe suggests an interesting example of the relation between the overall macroeconomic performance and the changes in the height as well as the structure of the...
Persistent link: https://www.econbiz.de/10005812922
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Trust and Loss Aversion in Romanian Capital Market
Alexandru, Ciprian Antoniade - Volkswirtschaftliche Fakultät, … - 2008
efficient market theory we study the evolution of portfolio structure in balanced funds. We are interesting to make an …
Persistent link: https://www.econbiz.de/10005616612
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Profitability of momentum returns under alternative approaches
Gupta, Kartick; Locke, Stuart; Scrimgeour, Frank - In: International Journal of Managerial Finance 9 (2013) 3, pp. 219-246
extent to which the portfolio structure is important in the momentum context. Design/methodology/approach – The focus …
Persistent link: https://www.econbiz.de/10014785462
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Profitability of momentum returns under alternative approaches
Gupta, Kartick; Locke, Stuart; Scrimgeour, Frank - In: International Journal of Managerial Finance 9 (2013) June, pp. 219-246
extent to which the portfolio structure is important in the momentum context. Design/methodology/approach – The focus …
Persistent link: https://www.econbiz.de/10010688413
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Individual Assets, Market Structure And The Drivers Of Return
Devaney, Steven; Lizieri, Colin - Henley Business School, University of Reading - 2005
Much prior research on the structure and performance of UK real estate portfolios has relied on aggregated measures for sector and region. For these groupings to have validity, the performance of individual properties within each group should be similar. This paper analyses a sample of 1,200...
Persistent link: https://www.econbiz.de/10005146655
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Evaluating the Effectiveness of Common Structures in Property Portfolio Construction
Devaney, Steven - Henley Business School, University of Reading - 2003
A good portfolio structure enables an investor to diversify more effectively and understand systematic influences on …
Persistent link: https://www.econbiz.de/10008546785
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