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subject:"Kreditrisiko"
subject:"Portfolio-Management"
~isPartOf:"Working paper / National Bureau of Economic Research, Inc."
~person:"Uppal, Raman"
~type:"book"
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Kreditrisiko
Portfolio-Management
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Uppal, Raman
Lo, Andrew W.
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Campbell, John Y.
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Cooper, Russell W.
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Viceira, Luis M.
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Aizenman, Joshua
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Brandt, Michael W.
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Bodie, Zvi
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Pástor, Ľuboš
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Shleifer, Andrei
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What can rational investors do about excessive volatility and sentiment fluctuations?
Dumas, Bernard
;
Kurshev, Alexander
;
Uppal, Raman
-
2005
Persistent link: https://www.econbiz.de/10003232674
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Risk aversion and optimal portfolio policies in partial and general equilibrium economies
Kogan, Leonid
;
Uppal, Raman
-
2001
Persistent link: https://www.econbiz.de/10001628686
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