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1.
Essays on the Determinants of Foreign Asset Portfolio Allocation, Home Bias, and Portfolio Dynamics during the Financial Crisis
by Rika, Elona, Ph.D.  Brandeis University, International Business School. 2014: 165 pages; 3721627.
3.
Portfolio Optimization under Generalized Hyperbolic Distribution of Returns and Exponential Utility
by Chavez-Bedoya Mercado, Luis Carlos, Ph.D.  Northwestern University. 2011: 187 pages; 3488449.
4.
Essays on Portfolio Theory and Applications
by Jin, Yong, Ph.D.  University of Florida. 2016: 92 pages; 10679132.
5.
Optimal Portfolio Design to Manage Oyster Resources
by Nyanzu, Frederick, M.S.  Mississippi State University. 2019: 259 pages; 13902272.
6.
Synthetic collateral debt obligation pricing
by Zhanyong, Liu, M.Sc.  Singapore Management University (Singapore). 2007: 74 pages; 1483222.
8.
The effect of concentrated institutional portfolio on stock returns
by Zhang, Haoli, M.Sc.  Singapore Management University (Singapore). 2009: 53 pages; 1489322.
9.
Portfolio management: Perceptions of the project manager
by Stratton, Michael J., Ph.D.  Capella University. 2011: 337 pages; 3460932.
10.
Digital Accessibility & Professional Writing Research & Final Portfolio
by Waguespack, Alessandra M., M.A.  University of Louisiana at Lafayette. 2017: 36 pages; 10680756.
11.
Essays in households' earnings, portfolio choice and consumption
by Vestman, Roine, Ph.D.  New York University. 2010: 211 pages; 3408357.
12.
Predicting bankruptcy and catastrophic loss: A portfolio approach
by McKibben, Michael, M.S.  Duquesne University. 2017: 55 pages; 10268695.
13.
Teacher perceptions regarding portfolio-based components of teacher evaluations
by Nagel, Charles I., Ed.D.  Illinois State University. 2012: 198 pages; 3520923.
14.
Technology portfolio and capacity expansion under uncertainty
by Filomena, Tiago Pascoal, Ph.D.  The George Washington University. 2010: 116 pages; 3427011.
15.
Essays on the economics of environmental issues: The Environmental Kuznets Curve to optimal energy portfolios
by Meininger, Aaron Gregory, Ph.D.  University of California, Santa Cruz. 2012: 212 pages; 3521799.
16.
The announcement effects and the long-run performances of convertible bond issuances
by Xie, Wei, M.Sc.  Singapore Management University (Singapore). 2009: 117 pages; 1478880.
17.
Fixed -income portfolio construction via simulation and stochastic programming
by Diaco, Anthony Joseph, Ph.D.  Stanford University. 2009: 126 pages; 3343952.
18.
A Comparative Case Study of a Student Involvement Co-curricular Portfolio and Transcript
by Perry, Bruce R., Ph.D.  University of Massachusetts Boston. 2018: 347 pages; 10787296.
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Renewable portfolio standards: An analysis of net job impacts
by Glicoes, Jonathan, M.P.P.  Georgetown University. 2013: 110 pages; 1543836.
21.
A New Look at Oligopoly: Implicit Collusion Through Portfolio Diversification
by Azar, Jose, Ph.D.  Princeton University. 2012: 170 pages; 3545676.
26.
Dynamic hedge fund asset allocation under multiple regimes
by Cru, David, Ph.D.  State University of New York at Stony Brook. 2010: 141 pages; 3408342.
27.
Examining the Potential Diversification Benefits of Emerging Market Exchange-Traded Funds
by Bernstein, Betty, D.B.A.  Northcentral University. 2012: 123 pages; 3533665.
28.
Test and Evaluation Resource Allocation Using Uncertainty Reduction as a Measure of Test Value
by Bjorkman, Eileen A., Ph.D.  The George Washington University. 2012: 349 pages; 3547993.
29.
Performance of the Producer Accumulator in Corn and Soybean Commodity Markets
by Te Slaa, Chad, M.S.  South Dakota State University. 2017: 117 pages; 10620800.
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