edoc

Items where Author is "Rudolf, Markus"

Up a level
Export as [feed] Atom [feed] RSS 1.0 [feed] RSS 2.0
Group by: Date | Item Type | Refereed
Jump to: 1999 | 1998
Number of items: 3.

1999

Zimmermann, Heinz and Wolter, Hans-Jürgen and Rudolf, Markus. (1999) Tracking error minimization. Journal of Banking and Finance, Vol. 23. pp. 85-103.

1998

Rudolf, Markus. (1998) An algorithm for international portfolio optimization. In: World Wide Asset and Liability Modeling. Cambridge, pp. 315-340.

Rudolf, Markus. (1998) Diversifikationseffekte internationaler Branchenportfolios. In: Handbuch Portfoliomanagement : Strukturierte Ansätze für ein modernes Wertpapiermanagement. Bad Soden, pp. 914-929.

This list was generated on Fri Apr 26 02:42:14 2024 CEST.