Crisis-robust bond portfolios
Year of publication: |
2008
|
---|---|
Authors: | Brière, Marie ; Szafarz, Ariane |
Published in: |
The journal of fixed income. - London : IPR Journals, ISSN 1059-8596, ZDB-ID 1116103-6. - Vol. 18.2008/09, 2, p. 57-70
|
Subject: | Anleihe | Bond | Portfolio-Management | Portfolio selection | USA | United States | EU-Staaten | EU countries |
-
Bond yields : models and moments
Gabriel, Christian, (2015)
-
Should investors include green bonds in their portfolios? : Evidence for the USA and Europe
Han, Yingwei, (2022)
-
A portfolio theory of defaultable bonds and its empirical validation
Schubert, Dirk A., (2004)
- More ...
-
When it rains, it pours : Multifactor asset management in good and bad times
Brière, Marie, (2021)
-
Virtual currency, tangible return : portfolio diversification with bitcoin
Brière, Marie, (2015)
-
Does commercial microfinance belong to the financial sector? : lessons from the stock market
Brière, Marie, (2015)
- More ...