Portfolio choice when managers control returns
Year of publication: |
2005-12-07
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Authors: | Matsen, Egil |
Institutions: | Norges Bank |
Subject: | Portfolio choice | diversification | optimal contracts |
Series: | |
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Type of publication: | Book / Working Paper |
Language: | English |
Notes: | Number 2005/15 31 pages |
Classification: | D81 - Criteria for Decision-Making under Risk and Uncertainty ; D82 - Asymmetric and Private Information ; G11 - Portfolio Choice |
Source: |
-
Portfolio Choice When Managers Control Returns
Matsen, Egil, (2005)
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Portfolio Choice when Managers Control Returns
Matsen, Egil, (2006)
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Asset Owners and Delegated Managers
Ang, Andrew, (2012)
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Overconfidence, Monetary Policy Committees and Chairman Dominance
Claussen, Carl Andreas, (2009)
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Savers, Spenders and Fiscal Policy in a Small Open Economy
Matsen, Egil, (2004)
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Matsen, Egil, (2012)
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