M&A Portfolios and Market Returns
Year of publication: |
2015
|
---|---|
Authors: | Evgeniou, Theodoros |
Publisher: |
[2015]: [S.l.] : SSRN |
Subject: | Portfolio-Management | Portfolio selection | Kapitaleinkommen | Capital income | Theorie | Theory |
Extent: | 1 Online-Ressource (49 p) |
---|---|
Series: | INSEAD Working Paper ; No. 2014/69/DSC |
Type of publication: | Book / Working Paper |
Language: | English |
Notes: | Nach Informationen von SSRN wurde die ursprüngliche Fassung des Dokuments January 7, 2015 erstellt |
Other identifiers: | 10.2139/ssrn.2546255 [DOI] |
Source: | ECONIS - Online Catalogue of the ZBW |
-
Mathematische Grundlagen des modernen Portfolio-Managements
Auckenthaler, Christoph, (1991)
-
Selection of the right risk measures for portfolio allocation
Nguyen, Thanh, (2014)
-
Asset pricing with time-varying betas for stock traded on S&P 500
Messis, Petros, (2014)
- More ...
-
To combine or not to combine: selecting among forecasts and their combinations
Hibon, Michele, (2005)
-
Adoption of New Economy Practices by SMEs in Eastern Europe
Damaskopoulos, Panagiotis, (2003)
-
Information Integration and Information Strategies for Adaptive Enterprises
Evgeniou, Theodoros, (2002)
- More ...