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DOI
Author
Journal
Affiliation
ISSN
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Portfolio Management of 8 Australian Companies’ Stocks
(Articles)
Ke Lyu
Open Journal of Social Sciences
Vol.9 No.1
, January 28, 2021
DOI:
10.4236/jss.2021.91032
741
Downloads
2,201
Views
Citations
Optimal Portfolio Control with Unknown Horizon
(Articles)
Moawia Alghalith
Journal of Mathematical Finance
Vol.2 No.1
, February 28, 2012
DOI:
10.4236/jmf.2012.21005
4,145
Downloads
8,366
Views
Citations
New Techniques in Project Management
(Articles)
Cameron Fisher
American Journal of Industrial and Business Management
Vol.4 No.12
, December 9, 2014
DOI:
10.4236/ajibm.2014.412080
9,139
Downloads
15,059
Views
Citations
Conditional CAPM Using Expected Returns of Brazilian Sustainability Companies
(Articles)
Elmo Tambosi Filho
Theoretical Economics Letters
Vol.8 No.3
, February 12, 2018
DOI:
10.4236/tel.2018.83026
27,571
Downloads
30,126
Views
Citations
This article belongs to the Special Issue on
Corporate Finance
Exploring the Cointegration Relation among Top Eight Asian Stock Markets
(Articles)
Muhammad Rizwanullah
,
Lizhi Liang
,
Xiuyuan Yu
,
Jinan Zhou
,
Muhammad Nasrullah
,
Muhammad Uzair Ali
Open Journal of Business and Management
Vol.8 No.3
, April 21, 2020
DOI:
10.4236/ojbm.2020.83068
1,182
Downloads
2,562
Views
Citations
Active vs. Passive Funds—An Empirical Analysis of the German Equity Market
(Articles)
Ernst J. Fahling
,
Elmar Steurer
,
Sven Sauer
Journal of Financial Risk Management
Vol.8 No.2
, June 13, 2019
DOI:
10.4236/jfrm.2019.82006
5,972
Downloads
12,031
Views
Citations
A Mathematical Approach to a Stocks Portfolio Selection: The Case of Uganda Securities Exchange (USE)
(Articles)
Fredrick Mayanja
,
Sure Mataramvura
,
Wilson Mahera Charles
Journal of Mathematical Finance
Vol.3 No.4
, November 27, 2013
DOI:
10.4236/jmf.2013.34051
4,986
Downloads
8,885
Views
Citations
Finding the Efficient Frontier for a Mixed Integer Portfolio Choice Problem Using a Multiobjective Algorithm
(Articles)
K. P. ANAGNOSTOPOULOS
,
G. MAMANIS
iBusiness
Vol.1 No.2
, December 18, 2009
DOI:
10.4236/ib.2009.12013
6,768
Downloads
11,139
Views
Citations
A New Method of Estimating the Asset Rate of Return
(Articles)
Moawia Alghalith
,
Tracy Polius
Theoretical Economics Letters
Vol.1 No.1
, June 1, 2011
DOI:
10.4236/tel.2011.11001
4,694
Downloads
10,737
Views
Citations
Portfolio Optimization without the Self-Financing Assumption
(Articles)
Moawia Alghalith
Advances in Pure Mathematics
Vol.1 No.3
, June 3, 2011
DOI:
10.4236/apm.2011.13018
4,740
Downloads
10,916
Views
Citations
A Comparison of Minimum Risk Portfolios under the Credit Crunch Crisis
(Articles)
Theodoros Mavralexakis
,
Konstantinos Kiriakopoulos
,
George Kaimakamis
,
Alexandros Koulis
Journal of Mathematical Finance
Vol.1 No.2
, August 25, 2011
DOI:
10.4236/jmf.2011.12005
5,817
Downloads
13,419
Views
Citations
The Mean-Variance Model Revisited with a Cash Account
(Articles)
Chonghui Jiang
,
Yongkai Ma
,
Yunbi An
Journal of Mathematical Finance
Vol.2 No.1
, February 28, 2012
DOI:
10.4236/jmf.2012.21006
6,063
Downloads
11,272
Views
Citations
Optimization of Dynamic Portfolio Insurance Model
(Articles)
Yuan Yao
Journal of Mathematical Finance
Vol.2 No.2
, May 23, 2012
DOI:
10.4236/jmf.2012.22019
9,432
Downloads
15,579
Views
Citations
Asset Pricing with Relative Performance and Heterogeneous Agents
(Articles)
Ting Levy
,
Xiangbo Liu
,
Zijun Liu
,
Zhigang Qiu
Theoretical Economics Letters
Vol.2 No.5
, December 28, 2012
DOI:
10.4236/tel.2012.25096
4,425
Downloads
7,081
Views
Citations
Portfolio Selection by Maximizing Omega Function using Differential Evolution
(Articles)
PEKÁR Juraj
,
BREZINA Ivan
,
ČIČKOVÁ Zuzana
,
REIFF Marian
Technology and Investment
Vol.4 No.1B
, January 17, 2013
DOI:
10.4236/ti.2013.41B012
5,976
Downloads
8,224
Views
Citations
Ethical Investment and Portfolio Theory: Using Factor Analysis to Select a Portfolio
(Articles)
John Simister
,
Richard Whittle
Journal of Mathematical Finance
Vol.3 No.1A
, March 29, 2013
DOI:
10.4236/jmf.2013.31A014
5,528
Downloads
11,269
Views
Citations
This article belongs to the Special Issue on
Forecasting and Portfolio Construction
The Constrained Mean-Semivariance Portfolio Optimization Problem with the Support of a Novel Multiobjective Evolutionary Algorithm
(Articles)
K. Liagkouras
,
K. Metaxiotis
Journal of Software Engineering and Applications
Vol.6 No.7B
, October 23, 2013
DOI:
10.4236/jsea.2013.67B005
8,005
Downloads
10,272
Views
Citations
Continuous-Time Mean-Variance Portfolio Selection with Partial Information
(Articles)
Wan-Kai Pang
,
Yuan-Hua Ni
,
Xun Li
,
Ka-Fai Cedric Yiu
Journal of Mathematical Finance
Vol.4 No.5
, November 26, 2014
DOI:
10.4236/jmf.2014.45033
4,359
Downloads
6,378
Views
Citations
Investment Market Environment and Decision Making for Equity Portfolio Selection
(Articles)
Paluku Kazimoto
American Journal of Industrial and Business Management
Vol.6 No.4
, April 26, 2016
DOI:
10.4236/ajibm.2016.64046
2,735
Downloads
4,238
Views
Citations
Stochastic Modelling on Dynamics of Portfolio Diversifications among the Fixed and Operational Investments through Internal Bivariate Linear Birth, Death and Migration Processes
(Articles)
Tirupathi Rao Padi
,
Chiranjeevi Gudala
Applied Mathematics
Vol.8 No.8
, August 31, 2017
DOI:
10.4236/am.2017.88091
1,000
Downloads
2,102
Views
Citations
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