Bankers, Markets & Investors n° 138 – Septembre-Octobre 2015 Agrandir

Bankers, Markets & Investors n° 138 – Septembre-Octobre 2015

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Sommaire

Articles

  • Could French and Eurozone Savers Invest More in Risky Assets?
  • Introducing Expected Returns into Risk Parity Portfolios: A New Framework for Asset Allocation
  • Robust Portfolio Protection: A Scenarios-based Approach

Focus On

  • Financial Regulations and Procyclicality

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142,18 €

138

Sommaire

Articles

  • Could French and Eurozone Savers Invest More in Risky Assets?
  • Introducing Expected Returns into Risk Parity Portfolios: A New Framework for Asset Allocation
  • Robust Portfolio Protection: A Scenarios-based Approach

Focus On

  • Financial Regulations and Procyclicality

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Bankers, Markets & Investors n° 138 – Septembre-Octobre 2015

Bankers, Markets & Investors n° 138 – Septembre-Octobre 2015

Sommaire

Articles

  • Could French and Eurozone Savers Invest More in Risky Assets?
  • Introducing Expected Returns into Risk Parity Portfolios: A New Framework for Asset Allocation
  • Robust Portfolio Protection: A Scenarios-based Approach

Focus On

  • Financial Regulations and Procyclicality

Donner votre avis