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~isPartOf:"Applied economics"
~isPartOf:"Journal of banking & finance"
~isPartOf:"Research in international business and finance"
~subject:"Investment Fund"
~subject:"Risk management"
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Portfolio Optimization in Corp...
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Investment Fund
Risk management
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926
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926
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356
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356
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254
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254
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Fabozzi, Frank J.
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Hammoudeh, Shawkat
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Chaiyuth Padungsaksawasdi
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2
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2
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2
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2
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2
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2
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Applied economics
Journal of banking & finance
Research in international business and finance
Insurance / Mathematics & economics
98
Finance research letters
85
Journal of financial economics
70
International review of financial analysis
67
European journal of operational research : EJOR
64
The journal of asset management
58
Risks : open access journal
54
NBER working paper series
51
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48
Journal of empirical finance
43
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43
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42
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42
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39
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39
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38
The North American journal of economics and finance : a journal of financial economics studies
38
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37
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37
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37
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36
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33
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33
Journal of risk management in financial institutions
33
Research paper series / Swiss Finance Institute
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Pacific-Basin finance journal
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Global finance journal
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ECONIS (ZBW)
188
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1
Bank balance sheet risk allocation
Júdice, Pedro
;
Zhu, Qiji Jim
- In:
Journal of banking & finance
133
(
2021
),
pp. 1-15
Persistent link: https://www.econbiz.de/10013256446
Saved in:
2
Do stop-loss rules add value in international equity market allocation?
Dai, Bochuan
;
Marshall, Ben R.
;
Nguyen, Nhut
; …
- In:
Applied economics
54
(
2022
)
14
,
pp. 1584-1597
Persistent link: https://www.econbiz.de/10012875527
Saved in:
3
Investment performance of shorted leveraged ETF pairs
Jiang, Xinxin
;
Peterburgsky, Stanley
- In:
Applied economics
49
(
2017
)
44
,
pp. 4410-4427
Persistent link: https://www.econbiz.de/10011843297
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4
Offsetting the implicit incentives : benefits of benchmarking in money management
Başak, Suleyman
;
Pavlova, Anna
;
Shapiro, Alex
- In:
Journal of banking & finance
32
(
2008
)
9
,
pp. 1883-1893
Persistent link: https://www.econbiz.de/10003774974
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5
A new measure of cross-sectional risk and its empirical implications for portfolio risk management
Galluccio, Stefano
;
Roncoroni, Andrea
- In:
Journal of banking & finance
30
(
2006
)
8
,
pp. 2387-2408
Persistent link: https://www.econbiz.de/10003355806
Saved in:
6
Immunization using a stochastic-process independent multi-factor model: The Portuguese experience
Bravo, Jorge Miguel Ventura
;
Silva, Carlos Manuel Pereira da
- In:
Journal of banking & finance
30
(
2006
)
1
,
pp. 133-156
Persistent link: https://www.econbiz.de/10003285597
Saved in:
7
Two-sided coherent risk measures and their application in realistic portfolio optimization
Chen, Zhiping
;
Wang, Yi
- In:
Journal of banking & finance
32
(
2008
)
12
,
pp. 2667-2673
Persistent link: https://www.econbiz.de/10003796150
Saved in:
8
ADR holdings of US-based emerging market funds
Aggarwal, Reena
;
Dahiya, Sandeep
;
Klapper, Leora
- In:
Journal of banking & finance
31
(
2007
)
6
,
pp. 1649-1667
Persistent link: https://www.econbiz.de/10003483282
Saved in:
9
Diversification benefits and persistence of US-based global bond funds
Polwitoon, Sirapat
;
Tawatnuntachai, Oranee
- In:
Journal of banking & finance
30
(
2006
)
10
,
pp. 2767-2786
Persistent link: https://www.econbiz.de/10003376479
Saved in:
10
Risk factor contributions in portfolio credit risk models
Rosen, Dan
;
Saunders, David M.
- In:
Journal of banking & finance
34
(
2010
)
2
,
pp. 336-349
Persistent link: https://www.econbiz.de/10003935602
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