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Zeitschrift

Financial Markets and Portfolio Management

Financial Markets and Portfolio Management 3/2019

Ausgabe 3/2019

Inhaltsverzeichnis ( 4 Artikel )

20.09.2019 | Ausgabe 3/2019

Common risk factors in international stock markets

Peter S. Schmidt, Urs von Arx, Andreas Schrimpf, Alexander F. Wagner, Andreas Ziegler

25.07.2019 | Ausgabe 3/2019

Alpha forecasting in factor investing: discriminating between the informational content of firm characteristics

Lars Heinrich, Martin Zurek

07.09.2019 | Ausgabe 3/2019

What is the best Lévy model for stock indices? A comparative study with a view to time consistency

Till Massing

09.08.2019 | Book Review | Ausgabe 3/2019

Handbook on Corporate Governance in Financial Institutions

Edward Elgar Publishing, 2016, 286 pages, ISBN: 9781784711788
Solène Collot

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