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Financial Markets and Portfolio Management|November 12, 2021
COVID-19's impact on real estate markets: review and outlookNadia Balemi, Roland Füss, Alois Weigand
Financial Markets and Portfolio Management|June 26, 2023
Beta estimation in the European network regulation context: what matters, what doesn't, and what is indispensableDmitry Bazhutov, André Betzer, Richard Stehle
Financial Markets and Portfolio Management|November 22, 2021
ICO investorsRüdiger Fahlenbrach, Marc Frattaroli
Financial Markets and Portfolio Management|June 27, 2022
Will the reddit rebellion take you to the moon? Evidence from WallStreetBetsRyan G Chacon, Thibaut G Morillon, Ruixiang Wang
Financial Markets and Portfolio Management|July 5, 2022
Constrained portfolio strategies in a regime-switching economyMarcelo Lewin, Carlos Heitor Campani
Financial Markets and Portfolio Management|June 26, 2023
Securitization of pandemic risk by using coronabondAdlane Haffar, Éric Le Fur, Mohamed Khordj
Financial Markets and Portfolio Management|April 4, 2022
How online discussion board activity affects stock trading: the case of GameStopAndré Betzer, Jan Philipp Harries
Financial Markets and Portfolio Management|November 12, 2021
Portfolio Selection with Irregular Time Grids: an example using an ICA-COGARCH(1, 1) approachFrancesco Bianchi, Lorenzo Mercuri, Edit Rroji
Financial Markets and Portfolio Management|November 12, 2021
Covid-19 and smart beta: A case study on the role of sectorsMilot Hasaj, Bernd Scherer
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