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Fabozzi, Frank J.
163
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96
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90
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86
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84
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80
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77
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67
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67
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67
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63
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61
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60
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58
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58
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58
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57
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53
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53
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51
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51
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51
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49
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48
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48
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48
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47
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47
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47
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47
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46
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45
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44
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44
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43
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43
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43
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World Bank
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Centre for International Economic Studies
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Edward Elgar Publishing
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373
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International review of economics & finance : IREF
208
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International review of financial analysis
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International journal of theoretical and applied finance
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Management science : journal of the Institute for Operations Research and the Management Sciences
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176
Finance and stochastics
174
The review of financial studies
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166
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164
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Research paper series / Swiss Finance Institute
161
CESifo working papers
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143
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Journal of econometrics
141
The North American journal of economics and finance : a journal of financial economics studies
137
Applied economics letters
135
Discussion papers / CEPR
126
Journal of financial and quantitative analysis : JFQA
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Journal of risk and financial management : JRFM
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ECONIS (ZBW)
39,010
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1
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1
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date (oldest first)
1
Exchange rate uncertainty and international portfolio flows : a multivariate
GARCH
-in-mean approach
Caporale, Guglielmo Maria
;
Ali, Faek Menla
;
Spagnolo, Nicola
- In:
Journal of international money and finance
54
(
2015
),
pp. 70-92
Persistent link: https://www.econbiz.de/10011476078
Saved in:
2
Dynamic autocorrelation and international portfolio allocation
Kinnunen, Jyri
;
Martikainen, Minna
- In:
Multinational finance journal
21
(
2017
)
1
,
pp. 21-48
Persistent link: https://www.econbiz.de/10012547453
Saved in:
3
Evaluation of multivariate
GARCH
models in an optimal asset allocation framework
Nor Syahilla Abdul Aziz
;
Vrontos, Spyridon
;
Hasim, …
- In:
The North American journal of economics and finance : a …
47
(
2019
),
pp. 568-596
Persistent link: https://www.econbiz.de/10012120131
Saved in:
4
Forecasting market risk of portfolios:
copula
-Markov switching multifractal approach
Segnon, Mawuli
;
Trede, Mark
- In:
The European journal of finance
24
(
2018
)
14
,
pp. 1123-1143
Persistent link: https://www.econbiz.de/10012258877
Saved in:
5
A new
copula
for modeling portfolios with skewed, leptokurtic and high-order dependent risk factors
Quatto, Piero
;
Vacca, Gianmarco
;
Zoia, Maria Grazia
- In:
The North American journal of economics and finance : a …
58
(
2021
),
pp. 1-22
Persistent link: https://www.econbiz.de/10013187663
Saved in:
6
Markov switching international capital asset pricing model, an emerging market case : Mexico
Valencia-Herrera, Humberto
;
López Herrera, Francisco
- In:
Journal of emerging market finance
17
(
2018
)
1
,
pp. 96-129
Persistent link: https://www.econbiz.de/10011875622
Saved in:
7
Portfolio optimization from a Copulas-GJR-
GARCH-EVT
-CVAR model : empirical evidence from ASEAN stock indexes
Sang Phu Nguyen
;
Toan Luu Duc Huynh
- In:
Quantitative finance and economics
3
(
2019
)
3
,
pp. 562-585
Persistent link: https://www.econbiz.de/10012176618
Saved in:
8
Multivariate
GARCH
and dynamic
copula
models for financial time series : with an application to emerging markets
Grziska, Martin
-
2015
-
1. Aufl.
Persistent link: https://www.econbiz.de/10010488311
Saved in:
9
Empirical performance of an ESG assets portfolio from US market
Pokou, Fredy
;
Kamdem, Jules Sadefo
;
Benhmad, François
- In:
Computational economics
64
(
2024
)
3
,
pp. 1569-1638
Persistent link: https://www.econbiz.de/10015143946
Saved in:
10
Portfolio optimization using multivariate t-copulas with conditionally skewed margins
Shekhar, Chirag
;
Trede, Mark
- In:
Review of economics & finance
9
(
2017
)
3
,
pp. 29-41
Persistent link: https://www.econbiz.de/10011718727
Saved in:
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