1 – 8 of 8
- show: 10
- |
- sort: year (new to old)
Close
Embed this list
<iframe src=""
width=""
height=""
allowtransparency="true"
frameborder="0">
</iframe>
- 2025
-
Mark
The Influence of ESG-scores on Stock Returns in Emerging and Developed Markets
- Bach. Degree
- 2023
-
Mark
The Performance of Swedish Actively Managed Mutual Funds Compared to a Broad Market Index Fund
- Bach. Degree
- 2022
-
Mark
Optimised ESG portfolios. Does sustainability sacrifice profit?
- Bach. Degree
- 2021
-
Mark
Home-Country Bias and International Diversification - From an American investor’s perspective
- Bach. Degree
- 2020
-
Mark
Risk Spillovers between BRICS Stock Markets, US Stock Market, Gold and Oil: A portfolio management approach
- Master (Two yrs)
-
Mark
Green Portfolio: Optimization under environmental constraints
- Bach. Degree
-
Mark
Covariance Matrix Regularization for Portfolio Selection: Achieving Desired Risk
- Master (Two yrs)
-
Mark
Covariance Matrix Regularization for Portfolio Selection: Achieving Desired Risk
- Master (One yr)