publications
Michael Verhofen
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titolo
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autori / ed.
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year
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tipo
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Implied and Realized Volatility in the Cross-Section ...
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Manuel Ammann, D...
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2009
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Journal paper
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The Impact of Prior Performance on the Risk-Taking of...
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Manuel Ammann, M...
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2009
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Journal paper
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Tactical Industry Allocation and Model Uncertainty
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Manuel Ammann, M...
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2008
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Journal paper
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Testing Conditional Asset Pricing Models Using a Mark...
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Manuel Ammann, M...
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2008
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Journal paper
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Prior Performance and Risk-Taking of Mutual Fund Mana...
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Manuel Ammann, M...
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2007
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Journal paper
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The Effect of Market Regimes on Style Allocation
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Manuel Ammann, M...
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2006
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Journal paper
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The Conglomerate Discount: A New Explanation Based on...
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Manuel Ammann, M...
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2006
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Journal paper
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The Effect of Market Regimes on Style Allocation
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Michael Verhofen
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2006
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presentazione
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The Conglomerate Discount: A New Explanation based on...
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Michael Verhofen
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2005
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presentazione
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The Effect of Market Regimes on Style Allocation
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Michael Verhofen
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2005
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presentazione
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Testing Conditional Asset Pricing Models Using a Mark...
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Michael Verhofen
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2005
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presentazione
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Testing Conditional Asset Pricing Models Using a Mark...
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Michael Verhofen
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2005
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presentazione
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An Introduction to Modern Portfolio Optimization
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Michael Verhofen
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2005
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book review
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Markov Chain Monte Carlo Methods in Financial Econometrics
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Michael Verhofen
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2005
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Journal paper
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Welche Rendite kann am Aktienmarkt erwartet werden?
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Manuel Ammann, M...
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2004
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articolo
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An Introduction to the Economics and Mathematics of F...
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Michael Verhofen
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2004
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book review
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Wie hoch ist die zukünftige Marktrisikoprämie?
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Manuel Ammann, M...
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2004
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articolo
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Aktienbewertungsniveau wird sich nicht nochmals erhöhen
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Manuel Ammann, M...
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2004
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articolo
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