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Browsing by Advisor Ottonello, Giorgio
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Showing results 1 to 20 of 66
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Issue Date
Title
Author(s)
Type
Access Type
12-Jan-2022
Active and passive investing
Meneses, Laura Sofia Dantas Freitas Telo de
masterThesis
29-Jun-2021
An analysis of bond funds´ credit risk exposure after the financial crisis
Mayer, Tobias Sebastian
masterThesis
24-Jan-2025
An analysis of the impact of ESG factors on portfolio performance
Cordeiro, Mafalda
masterThesis
13-Jan-2023
An analysis of the inflation-hedging properties of four different asset classes
Staubert, Pauline Tsambika
masterThesis
10-Jan-2024
An empirical analysis of chatgpt performance in predicting stock prices: a study of the dax companies
Kuhlmann, Luca Niklas
masterThesis
29-Jan-2024
Analysing drivers and determinants of the cross-currency basis: a post global financial crisis perspective
Dahle, Lars
masterThesis
20-Sep-2021
Are financial markets sensitive to green bonds issuance
Handgraaf, Léa Emmanuel Simone
masterThesis
22-Jan-2024
Asset allocation with environmental, social, and governance concerns: exploring environmental, social, and governance investment strategies in portfolio management
Meyer, Christian
masterThesis
13-Jan-2025
Build-up opportunity in Portugal with Draycott in the occupational health and safety sector - Centralmed
Antunes, Pedro Domingues Lobo
masterThesis
13-Jan-2025
Build-up opportunity in Portugal with Draycott in the occupational health and safety sector - Controlsafe
Carvalhal, Marta Teles de Freitas Camacho
masterThesis
13-Jan-2025
Build-up opportunity in Portugal with Draycott in the occupational health and safety sector - workview
Rodrigues, Mariana Duarte
masterThesis
27-May-2021
Can bond funds demand explain the surge in Cov-lite corporate bonds?
Fernandes, João Pedro Alves
masterThesis
20-Jan-2021
Corporate bonds or bank loans: debt structure and its determinants in the U.S. market
Högerle, Bernadette
masterThesis
25-Jan-2021
Credit rating inflation in the post-financial crisis era: conflict of interests or changed conditions
Novo, Inês Carreira
masterThesis
24-Jun-2025
Crisis-proofing real estate: ESG and downside risk resilience in European market shocks. Measuring impact for 'BPI impacto clima' funds
Provoost, Mathieu Arnaud Laurent
masterThesis
12-Jan-2022
Decoding the quality factor - risk premia in asset allocation: risk parity
Linz, Pascal
masterThesis
12-Jan-2022
Decoding the quality factor: integrate climate considerations in quality investing
Branco, Mariana Pinto
masterThesis
12-Jan-2022
Decoding the quality factor: quality investing in emerging markets
Ambrosius, Lorenz Paul
masterThesis
12-Jan-2022
Differences in performance between physical and synthetic exchange-traded funds
Marto, Francisco Manuel Simões
masterThesis
19-Jan-2021
Disruptions in financial markets: the case of etfs in the covid-19 crisis
Lepka, Adam Lepka
masterThesis