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Academic texts about  Portfolio-Management

14  publications
  • Advanced Economics of System Portfolio Exercise
    Title: Advanced Economics of System Portfolio Exercise
    Autor:in: Anonym (Author)
    Subject: Business economics - Investment and Finance
    Category: Project Report , 2017 24 Pages , Grade: 1,0
    Catalog Number: 438280
    Price: US$ 19.99
  • Aktiv oder passiv gemanagte Fonds: Schlagen Fondsmanager den Index?
    Die Frage nach dem optimalen Investmentansatz
    Title: Aktiv oder passiv gemanagte Fonds: Schlagen Fondsmanager den Index?
    Autor:in: Manuel Brinkmann (Author)
    Subject: Business economics - Investment and Finance
    Category: Bachelor Thesis , 2017 67 Pages , Grade: 2,3
    Catalog Number: 520756
    Price: US$ 34.99
  • Benchmarking als Entlohnungssystem im Portfoliomanagement
    Title: Benchmarking als Entlohnungssystem im Portfoliomanagement
    Autor:in: Sergej Shelesnjak (Author)
    Subject: Business economics - Investment and Finance
    Category: Bachelor Thesis , 2013 41 Pages , Grade: in Korrektur
    Catalog Number: 263728
    Price: US$ 21.99
  • Copula-Theorie und Tail-Dependence im modernen Risikomanagement. Grundlagen, Typen und Anwendungen
    Title: Copula-Theorie und Tail-Dependence im modernen Risikomanagement. Grundlagen, Typen und Anwendungen
    Autor:in: Anonym (Author)
    Subject: Business economics - Accounting and Taxes
    Category: Term Paper , 2020 15 Pages , Grade: 1,0
    Catalog Number: 1446736
    Price: US$ 18.99
  • Design of a Portfolio Management System for Software Line Development
    Merging the Gap between Software Project and Product Management in Global EADS Programs
    Title: Design of a Portfolio Management System for Software Line Development
    Autor:in: Dipl.-Ing. (DH) Michael Lang (Author)
    Subject: Computer Science - Commercial Information Technology
    Category: Master's Thesis , 2013 130 Pages , Grade: 1,8
    Catalog Number: 215548
    Price: US$ 52.99
  • Die Absolute Return-Strategie unter dem Einsatz von Hedge Funds
    Eine Alternative zur Benchmarkorientierung im Portfolio-Management
    Title: Die Absolute Return-Strategie unter dem Einsatz von Hedge Funds
    Autor:in: Sebastian Bleser (Author)
    Subject: Business economics - Investment and Finance
    Category: Diploma Thesis , 2004 73 Pages , Grade: 1,3
    Catalog Number: 22944
    Price: US$ 34.99
  • Dispositionseffekt. Ansätze der Neoklassik und der Verhaltensökonomik
    Title: Dispositionseffekt. Ansätze der Neoklassik und der Verhaltensökonomik
    Autor:in: David Kochar (Author)
    Subject: Business economics - Investment and Finance
    Category: Term Paper (Advanced seminar) , 2019 28 Pages , Grade: 1,7
    Catalog Number: 537325
    Price: US$ 19.99
  • Dynamic asset allocation under regime switching. An in-sample and out-of-sample study under the Copula-Opinion Pooling framework
    Title: Dynamic asset allocation under regime switching. An in-sample and out-of-sample study under the Copula-Opinion Pooling framework
    Autor:in: Andrea Bartolucci (Author)
    Subject: Business economics - Investment and Finance
    Category: Master's Thesis , 2016 250 Pages , Grade: 110/110 summa cum laude
    Catalog Number: 349755
    Price: US$ 0.99
  • Impact Investing. The Future of Investing?
    A Holistic Introduction
    Title: Impact Investing. The Future of Investing?
    Autor:in: Max Luca Wiegand (Author)
    Subject: Business economics - Investment and Finance
    Category: Seminar Paper , 2017 47 Pages , Grade: 1,0
    Catalog Number: 383587
    Price: US$ 21.99
  • Portable Alpha Strategie. Die theoretischen und konzeptionellen Hintergründe
    Title: Portable Alpha Strategie. Die theoretischen und konzeptionellen Hintergründe
    Autor:in: Diplom-Kaufmann Stefan Rondorf (Author)
    Subject: Business economics - Banking, Stock Exchanges, Insurance, Accounting
    Category: Diploma Thesis , 2006 62 Pages , Grade: 2,0
    Catalog Number: 71970
    Price: US$ 34.99
  • Portfolio Management. Return and risk evaluation
    Title: Portfolio Management. Return and risk evaluation
    Autor:in: Md Kamrul Islam (Author)
    Subject: Economics - Finance
    Category: Term Paper , 2015 22 Pages , Grade: 2.1
    Catalog Number: 461501
    Price: US$ 19.99
  • Principal-Agent Aspekte in Vertragsbeziehungen zwischen Immobilienportfolio und Asset Management
    Title: Principal-Agent Aspekte in Vertragsbeziehungen zwischen Immobilienportfolio und Asset Management
    Autor:in: Christoph Schmidt (Author)
    Subject: Business economics - Business Management, Corporate Governance
    Category: Term Paper , 2017 21 Pages , Grade: 1,3
    Catalog Number: 436788
    Price: US$ 18.99
  • Selektion von Zielmärkten für institutionelle Immobilieninvestitionen mittels ELECTRE
    Title: Selektion von Zielmärkten für institutionelle Immobilieninvestitionen mittels ELECTRE
    Autor:in: Mareen Sawitzky (Author)
    Subject: Business economics - Investment and Finance
    Category: Master's Thesis , 2014 148 Pages , Grade: 1,0
    Catalog Number: 286074
    Price: US$ 42.99
  • Value Investing. Die intelligente Art des Investments nach Warren Buffett
    Title: Value Investing. Die intelligente Art des Investments nach Warren Buffett
    Autor:in: Sebastian Habelsberger (Author)
    Subject: Business economics - Investment and Finance
    Category: Term Paper , 2018 21 Pages , Grade: 2,0
    Catalog Number: 454750
    Price: US$ 18.99
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