Overview
- Editors:
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Greg N. Gregoriou
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State University of New York (Plattsburgh), USA
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Table of contents (12 chapters)
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- Rachel Campbell, Roman Kräussl
Pages 1-15
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- Markus Leippold, Felix Monger
Pages 16-41
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- Denisa Cumova, David Moreno, David Nawrocki
Pages 80-95
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- Arindam Bandopadhyaya, Sushmita Nagarajan
Pages 96-102
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- Adeline Chan, J. Wickramanayake
Pages 114-136
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- Mark Burgess, J. Wickramanayake
Pages 151-182
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- Taras Bodnar, Wolfgang Schmid
Pages 214-227
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Back Matter
Pages 235-244
About this book
This book relates to strategic asset allocation for institutional investors. It consists of a collection of edited papers from academics worldwide on the latest developments in asset allocation, portfolio management and international investments. These expert studies can improve the risk and return characteristics of your investment portfolio.
Editors and Affiliations
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State University of New York (Plattsburgh), USA
Greg N. Gregoriou
About the editor
FAITH ABID
SLAH BAHLOUL
ARINDAM BANDOPADHYAYA Chairman and Associate Professor of Finance at UMASS-Boston, USA
A. CHAN
BART FRIJNS Senior Lecturer at the School of Business, Auckland University of Technology, New Zealand
STEFANO GALLUCCIO Director at the Investment Banking Division of BNP Paribas, London, UK
KLAUS HELLWIG Professor of Business Administration, University of Ulm, Germany
MARKUS LEIPPOLD Assistant Professor of Finance at the Swiss Banking Institute of the University of Zurich, Switzerland
CLAUDIO MARSALA Quantitative Portfolio Manager at Ras Asset Management
FELIX MORGER Fourth-year PhD Student at the Swiss Banking Institute of the University of Zurich, Switzerland
SUSHMITA NAGARAJAN Senior Associate in the Structured Finance Group, Moody's Investor Service, New York, USA
ROGÉR OTTEN Assistant Professor of Finance at Maastricht University, The Netherlands
MASSIMILIANO PALLOTTA Member of the Risk Management Team at Ras Asset Management
VALERIO POTI Finance Lecturer at Dublin City University, Ireland
STEFANO RICCI Member of the Quantitative Portfolio Management Unit at Ras Asset Management
ANDREA RONCORONI Assistant Professor in the Finance Department of the ESSEC Business School, Paris, France
JAYASINGHE WICKRAMANAYAKE
RAFFAELE ZENTI Quantitative Portfolio Manager at Ras Asset Management and Lecturer at the Master in Finance of CORIPE, University of Turin, Italy