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Analytical Hierarchy Process and Goal Programming Approach for Asset Allocation
(Articles)
Komlan Sedzro
,
Arif Marouane
,
Tov Assogbavi
Journal of Mathematical Finance
Vol.2 No.1
,February 28, 2012
DOI:
10.4236/jmf.2012.21012
6,333
Downloads
12,296
Views
Citations
The Return-Risk Performance——The Comparison of Asset Portfolio Performance of Institution Fund with That Based on Multifractal Detrended Fluctuation Approach
(Articles)
Xiaobo Wen
,
Hui Wang
,
Zongfang Zhou
,
Hua Zhang
Modern Economy
Vol.3 No.4
,July 24, 2012
DOI:
10.4236/me.2012.34059
4,897
Downloads
7,315
Views
Citations
Combining Upside and Downside Volatility in Investment Decision
(Articles)
Riccardo Bramante
,
Silvia Facchinetti
Journal of Mathematical Finance
Vol.12 No.1
,February 9, 2022
DOI:
10.4236/jmf.2022.121006
242
Downloads
1,810
Views
Citations
An Empirical Evaluation of Alternative Asset Allocation Policies for Emerging and Frontier Market Investors in Africa
(Articles)
Okwaro Douglas Job
Journal of Financial Risk Management
Vol.11 No.3
,July 14, 2022
DOI:
10.4236/jfrm.2022.113024
208
Downloads
1,055
Views
Citations
Risk Budgeting: A Tactical Asset Allocation Approach for Retirement Reserve Funds in Morocco
(Articles)
Moulay Slimane Kabiri
,
Cherif El Msiyah
,
Otheman Nouisser
Journal of Financial Risk Management
Vol.12 No.2
,June 29, 2023
DOI:
10.4236/jfrm.2023.122011
257
Downloads
1,430
Views
Citations
Asset Allocation, Time Diversification and Portfolio Optimization for Retirement
(Articles)
Kamphol Panyagometh
Technology and Investment
Vol.2 No.2
,June 3, 2011
DOI:
10.4236/ti.2011.22010
5,180
Downloads
10,855
Views
Citations
The Effects of Systemic Risk on the Allocation between Value and Growth Portfolios
(Articles)
Gabriel Penagos
,
Gonzalo Rubio
Journal of Mathematical Finance
Vol.3 No.1A
,March 29, 2013
DOI:
10.4236/jmf.2013.31A016
5,576
Downloads
9,183
Views
Citations
This article belongs to the Special Issue on
Forecasting and Portfolio Construction
An Extension of Some Results Due to Cox and Leland
(Articles)
Andrew P. Leung
,
Wen Shi
Journal of Mathematical Finance
Vol.3 No.4
,October 17, 2013
DOI:
10.4236/jmf.2013.34043
3,621
Downloads
5,703
Views
Citations
The Enlightenment to China from UK’s Pension Entering Capital Market
(Articles)
Yuting Liu
,
Qingjun Meng
,
Yong Ma
American Journal of Industrial and Business Management
Vol.6 No.8
,August 29, 2016
DOI:
10.4236/ajibm.2016.68084
1,703
Downloads
2,636
Views
Citations
Optimal Asset Allocation for a Mean-Variance-CVaR Insurer under Regulatory Constraints
(Articles)
Yu Shi
,
Xia Zhao
,
Xin Yan
American Journal of Industrial and Business Management
Vol.9 No.7
,July 24, 2019
DOI:
10.4236/ajibm.2019.97103
729
Downloads
1,636
Views
Citations
Statistical Arbitrage Strategy in Multi-Asset Market Using Time Series Analysis
(Articles)
Takahiro Imai
,
Kei Nakagawa
Journal of Mathematical Finance
Vol.10 No.2
,May 21, 2020
DOI:
10.4236/jmf.2020.102020
1,533
Downloads
5,463
Views
Citations
This article belongs to the Special Issue on
Finance and Portfolio Management
Asset Allocation Strategy with Non-Hierarchical Clustering Risk Parity Portfolio
(Articles)
Kei Nakagawa
,
Takanobu Kawahara
,
Akio Ito
Journal of Mathematical Finance
Vol.10 No.4
,October 10, 2020
DOI:
10.4236/jmf.2020.104031
728
Downloads
2,910
Views
Citations
Improving Portfolio Selection by Balancing Liquidity-Risk-Return: Evidence from Stock Markets
(Articles)
Eder Oliveira Abensur
,
Wesley Pompeu de Carvalho
Theoretical Economics Letters
Vol.12 No.2
,April 12, 2022
DOI:
10.4236/tel.2022.122027
373
Downloads
1,957
Views
Citations
The Vulnerability of Household Finance and Its Effects: A Literature Review and Prospects
(Articles)
Bingyao Xie
,
Jianhong Tao
Open Journal of Business and Management
Vol.13 No.2
,March 7, 2025
DOI:
10.4236/ojbm.2025.132048
42
Downloads
264
Views
Citations
Portfolio Size in Stochastic Portfolio Networks Using Digital Portfolio Theory
(Articles)
C. Kenneth Jones
Journal of Mathematical Finance
Vol.3 No.2
,May 24, 2013
DOI:
10.4236/jmf.2013.32028
6,933
Downloads
12,101
Views
Citations
A Note on a Framework to Assess the Required Equity Risk Premium Using Cumulative Prospect Theory
(Articles)
Chris Holdsworth
,
Eben Maré
Theoretical Economics Letters
Vol.4 No.1
,February 18, 2014
DOI:
10.4236/tel.2014.41014
4,058
Downloads
5,637
Views
Citations
Optimal Asset Allocation Strategy for Defined-Contribution Pension Plans with Different Power Utility Functions
(Articles)
Qingping Ma
Open Access Library Journal
Vol.1 No.4
,July 21, 2014
DOI:
10.4236/oalib.1100754
1,729
Downloads
2,700
Views
Citations
A Study on the Influence Mechanism of Chinese Residents’ Willingness to Allocate Assets in the Context of Confucian Culture—An Empirical Analysis Based on Structural Equation Modeling
(Articles)
Zhibin Tao
,
Jiaxiao Chao
Open Journal of Business and Management
Vol.11 No.5
,September 21, 2023
DOI:
10.4236/ojbm.2023.115131
169
Downloads
528
Views
Citations
The Impact of Population Aging on Pension Accounting and Asset Allocation
(Articles)
Letong Zhou
Open Journal of Business and Management
Vol.13 No.1
,December 19, 2024
DOI:
10.4236/ojbm.2025.131007
55
Downloads
362
Views
Citations
Is Control Friction Always Hurting Outside Investors? Implications from a Theoretical Study
(Articles)
Du Du
Journal of Mathematical Finance
Vol.15 No.1
,February 10, 2025
DOI:
10.4236/jmf.2025.151006
53
Downloads
215
Views
Citations
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