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  1. Journal of Portfolio Management

    ...

    Ανώνυμος (not verified) - 04-07-2017

  2. Ημερίδα Ένωσης Αποφοίτων ΟΠΑ με θέμα «Φορολογία Εισοδήματος Φυσικών Προσώπων» (10/6/15)

    ... τη σελίδα http://auebalumni.gr/portfolio/forologia-fysikwn-prosopwn-aueb-opa/ ...

    Ανώνυμος (not verified) - 11-04-2018

  3. 17th e-Summer School in Risk Finance and Stochastics, 30 June-3 July 2020

    ... be presented and discussed include stochastic finance, portfolio theory, risk management and decision making. Among the speakers ...

    marialiatsou - 01-07-2020

  4. 17th e-Summer School in Risk Finance and Stochastics, Web, 30 June – 3 July 2020

    ... be presented and discussed include stochastic finance, portfolio theory, risk management and decision making. Among the speakers ...

    marialiatsou - 29-06-2020

  5. Spyrou Spyridon

    ... Analysis, The Manchester School, among others. His teaching portfolio includes a large number of postgraduate modules (Money & Capital ... Financial Engineering, Security Investment Analysis, Portfolio Management, Behavioral Finance, Risk Management & Derivatives) and ...

    Ανώνυμος (not verified) - 20-02-2025

  6. Department of International and European Studies

    ... on their specialization 1. 4137 Portfolio Management (R1) 6 ECTS 2. 4139 ...

    auebuser1 - 11-03-2016

  7. Master's Programs

    ... Econometrics and Data Analysis, Financial Analysis and Portfolio Investment, Debt Risk Assessment, Derivatives, Financial Market ... International Economics and Finance, Financial Analysis and Portfolio investment, Debt Risk Assessment, Market Effectiveness and ...

    tbebis - 23-12-2020

  8. Master's Programs

    ... Econometrics and Data Analysis, Financial Analysis and Portfolio Investment, Debt Risk Assessment, Derivatives, Financial Market ... International Economics and Finance, Financial Analysis and Portfolio investment, Debt Risk Assessment, Market Effectiveness and ...

    marialiatsou - 05-05-2025

  9. Leledakis Georgios

    ... teaching interests are in the areas of Corporate Finance and Portfolio Management. In particular, his current research focuses on the ... and multi-factor model of equity risk and their use in portfolio management.  His work on cross-sectional influences on security ...

    Ανώνυμος (not verified) - 04-03-2022

  10. Διδάκτορες Σχολής Οικονομικών Επιστημών

    ... ΖΕΡΒΟΥΔΗ ΕΥΑΝΘΙΑ Prospect Theory in portfolio management ΚΑΛΥΒΙΤΗΣ ΣΑΡΑΝΤΗΣ ΔΙΕΘΝΩΝ ... ΓΕΩΡΓΙΟΣ  STOCHASTIC DOMINANCE FOR PORTFOLIO ANALYSIS FOR INVESTORS WITH MIXED ATTITUDES TOWARDS RISK ...

    marialiatsou - 17-03-2025

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