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  • Search: subject_exact:"Portfolio-Insurance"
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Year of publication
Subject
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Portfolio selection 53,516 Portfolio-Management 53,516 Theorie 22,937 Theory 22,933 Capital income 9,623 Kapitaleinkommen 9,623 Anlageverhalten 9,289 Behavioural finance 9,276 Risk 6,816 Risiko 6,763 Investmentfonds 5,697 Investment Fund 5,685 Kapitalanlage 4,981 CAPM 4,945 Risikomanagement 4,850 Financial investment 4,815 Risk management 4,710 Börsenkurs 3,869 Share price 3,860 Welt 3,748 World 3,748 Risikomaß 3,246 Risk measure 3,244 Volatilität 3,131 Volatility 3,126 Aktienmarkt 3,076 USA 3,068 Stock market 3,053 United States 3,031 Estimation 3,026 Schätzung 3,022 Hedging 2,776 Financial market 2,304 Finanzmarkt 2,302 Finanzanalyse 2,126 Financial analysis 2,089 Institutional investor 2,062 Institutioneller Investor 2,062 Mathematical programming 2,062 Mathematische Optimierung 2,062
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Online availability
All
Free 18,795 Undetermined 14,446 CC license 1,126 Digitizable 3
Type of publication
All
Article 29,136 Book / Working Paper 24,363 Journal 82
Type of publication (narrower categories)
All
Article in journal 25,882 Aufsatz in Zeitschrift 25,882 Graue Literatur 7,347 Non-commercial literature 7,347 Working Paper 6,707 Arbeitspapier 6,703 Aufsatz im Buch 2,548 Book section 2,548 Hochschulschrift 1,597 Thesis 1,240 Collection of articles of several authors 506 Sammelwerk 506 Lehrbuch 439 Textbook 402 Aufsatzsammlung 300 Collection of articles written by one author 256 Sammlung 256 Bibliografie enthalten 215 Bibliography included 215 Ratgeber 160 Handbook 154 Handbuch 154 Conference paper 153 Konferenzbeitrag 153 Glossar enthalten 133 Glossary included 133 Guidebook 125 Konferenzschrift 122 Case study 88 Fallstudie 88 Conference proceedings 81 Systematic review 53 Übersichtsarbeit 53 Reprint 52 Mikroform 42 Bibliografie 36 Amtsdruckschrift 32 Government document 32 Forschungsbericht 26 Mehrbändiges Werk 21
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Language
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English 50,833 German 2,301 French 184 Italian 67 Spanish 58 Undetermined 49 Polish 43 Dutch 25 Swedish 14 Hungarian 13 Russian 13 Portuguese 9 Danish 7 Finnish 7 Czech 3 Slovak 3 Arabic 2 Bulgarian 2 Norwegian 2 Serbian 2 Afrikaans 1 Croatian 1
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Author
All
Fabozzi, Frank J. 262 Maurer, Raimond 137 Mitchell, Olivia S. 128 Guidolin, Massimo 106 Zaremba, Adam 100 Platen, Eckhard 97 Campbell, John Y. 91 Satchell, Stephen 86 Lo, Andrew W. 83 Uppal, Raman 82 Ang, Andrew 77 McAleer, Michael 74 Gollier, Christian 73 Wong, Wing Keung 68 Hens, Thorsten 64 Kraft, Holger 63 Levy, Haim 63 Stambaugh, Robert F. 63 Weber, Martin 62 Wermers, Russ 62 Kelly, Bryan T. 61 Lee, Cheng F. 61 Markowitz, Harry 61 Blake, David 57 Korn, Ralf 57 Prigent, Jean-Luc 57 Viceira, Luis M. 57 Van Wincoop, Eric 55 Bodie, Zvi 54 Post, Thierry 54 Zagst, Rudi 53 Zhou, Guofu 53 Başak, Suleyman 52 Schenk-Hoppé, Klaus Reiner 51 Lucas, André 50 Bekaert, Geert 49 Härdle, Wolfgang 49 Li, Duan 49 Račev, Svetlozar T. 49 Guiso, Luigi 48
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Institution
All
National Bureau of Economic Research 631 OECD 37 Institute of Finance and Accounting <London> 20 Frank J. Fabozzi Associates <New Hope, Pa.> 15 World Bank 15 World Scientific (Firm) 15 Sonderforschungsbereich Quantifikation und Simulation Ökonomischer Prozesse 14 European Innovation Council and SMEs Executive Agency 12 Rodney L. White Center for Financial Research 12 Springer Fachmedien Wiesbaden 12 Basel Committee on Banking Supervision 11 CFA Institute <Charlottesville, Va.> 11 Fisher Investments Inc. <Woodside, Calif.> 11 World Bank Group 11 Center for Economic Research <Tilburg> 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 Pensions Institute 9 Université catholique de Louvain / Institut de recherches économiques et sociales <1941-1960> 9 European Central Bank 8 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 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 Commission / Directorate-General for Research and Innovation 5 International Association for the Study of Insurance Economics 5
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Published in...
All
Finance research letters 698 Journal of banking & finance 675 NBER working paper series 627 Working paper / National Bureau of Economic Research, Inc. 481 European journal of operational research : EJOR 458 International review of financial analysis 456 NBER Working Paper 441 Insurance 419 Journal of financial economics 370 Management science : journal of the Institute for Operations Research and the Management Sciences 294 The journal of portfolio management : a publication of Institutional Investor 291 Journal of economic dynamics & control 283 The journal of finance : the journal of the American Finance Association 279 Applied economics 276 International review of economics & finance : IREF 274 Journal of asset management 268 Research paper series / Swiss Finance Institute 266 Journal of empirical finance 260 Quantitative finance 256 Risks : open access journal 248 International journal of theoretical and applied finance 234 Pacific-Basin finance journal 232 The European journal of finance 221 Discussion paper / Centre for Economic Policy Research 214 Economics letters 210 Finance and stochastics 209 Journal of financial and quantitative analysis : JFQA 208 Economic modelling 206 Research in international business and finance 204 Discussion papers / CEPR 199 The review of financial studies 197 The North American journal of economics and finance : a journal of financial economics studies 195 SpringerLink / Bücher 182 Applied economics letters 180 Computational economics 180 Journal of international financial markets, institutions & money 179 Journal of risk and financial management : JRFM 179 Mathematical finance : an international journal of mathematics, statistics and financial theory 179 Journal of investment management : JOIM 175 The journal of investing 169
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Source
All
ECONIS (ZBW) 53,518 RePEc 46 EconStor 6 USB Cologne (EcoSocSci) 6 USB Cologne (business full texts) 3 BASE 1 Other ZBW resources 1
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Showing 1 - 10 of 53,581
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Managing systemic risk in energy and financial markets : evidence from five portfolio strategies based on connectedness
Bouzguenda, Mariem; Jarboui, Anis - In: International Journal of Energy Economics and Policy : IJEEP 16 (2026) 2, pp. 665-679
Persistent link: https://www.econbiz.de/10015620298
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Upstream gas portfolio optimization under fiscal rules and uncertainty : a systematic review and bibliometric mapping
Naikosou, Marcelino Freitas; Adityawarman; Guterres, … - In: International Journal of Energy Economics and Policy : IJEEP 16 (2026) 2, pp. 914-924
Persistent link: https://www.econbiz.de/10015620653
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Impact of selected macroeconomic factors on financial markets : a case study of the USA
Tymoshchuk, Taras; Spirzewski, Krzysztof - In: Financial internet quarterly 22 (2026) 1, pp. 35-45
The financial environment is under great pressure as a result of dynamically changing macroeconomic factors. In this situation, full of uncertainty, understanding the relationship between macroeconomic factors and financial markets becomes a key issue. Market analysts and investors are...
Persistent link: https://www.econbiz.de/10015620964
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Liquidity stress tests for fixed-income mutual fund: an application for Chile
Gallardo, Tamara; Martínez, Fernando; Muñoz, Matías; … - 2026
Persistent link: https://www.econbiz.de/10015625227
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Empirical analysis of the dogs of the dow trading strategy : Polish evidence
Ziarko-Siwek, Urszula - In: Contemporary economics 20 (2026) 1, pp. 112-134
This study examines how effective the Dogs of the Dow (DoD) investment strategy, popular in the USA, was for the Polish blue-chip stock market between 2002-2023. This strategy involves investing the same amount of funds each year in shares of ten companies called Dogs of Dow with the highest...
Persistent link: https://www.econbiz.de/10015625934
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Effects of price path shapes and decision frames on emotions and investment decisions : experimental evidence
Cordes, Henning; Decke, Philipp; Nolte, Sven; … - In: The journal of behavioral finance : a publication of … 27 (2026) 1, pp. 54-68
Persistent link: https://www.econbiz.de/10015626639
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Tokenized gold in crypto markets : tracking accuracy and portfolio performance
Ashfaq, Muhammad; Pfeifer, Maximilian; Gürpinar, Tan; … - In: FinTech 5 (2026) 1, pp. 1-13
This paper examines the relationship between traditional gold (XAU) and its tokenized counterparts (PAXG and XAUT), providing an empirical assessment of how digital representations of real-world assets align with their underlying benchmarks. Using multi-year time series data, the study evaluates...
Persistent link: https://www.econbiz.de/10015628496
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On the limits of hedging inflation risk in investment portfolios
Chen, Damiaan H. J.; Beetsma, Roel; Wijnbergen, Sweder van - 2026 - This version: April 9, 2026
Persistent link: https://www.econbiz.de/10015632820
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Structural spillovers among Bitcoin, Ethereum, Gold, and U.S. equities : evidence from the 2024 spot ETF institutionalization regime
Bukaita, Wisam; Li, Xinrui - In: Economies : open access journal 14 (2026) 4, pp. 1-18
This study examines dynamic interdependencies and risk transmission among major cryptocurrencies and traditional financial assets, including Bitcoin, Ethereum, U.S. equities, and gold, over the period 2017-2024. Particular attention is given to the structural shift associated with the 2024 U.S....
Persistent link: https://www.econbiz.de/10015633858
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Institutional reform and depositors' portfolio choice evidence from bank account data
Berlemann, Michael; Luik, Marc-André - 2026
In this paper we employ the natural experiment of German Division and Reunification in order to study the effect of institutional reform on the decision to hold risky assets. We present empirical evidence indicating that even 16 years after German Reunification risky portfolios of East and West...
Persistent link: https://www.econbiz.de/10015614062
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