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Frank J Fabozzi
Frank J Fabozzi
EDHEC Business School
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Title
Cited by
Cited by
Year
Contabilidad de costos
RS Polimeni, F Fabozzi, A Adelberg, M Kole
McGraw-Hill, 1994
17021994
Bond markets, analysis, and strategies
FJ Fabozzi, FA Fabozzi
MIT Press, 2021
14592021
The handbook of fixed income securities
FJ Fabozzi, SV Mann
New York, 2005
10022005
Capital markets: institutions and instruments
FJ Fabozzi, F Modigliani
(No Title), 2003
9582003
Robust portfolio optimization and management
FJ Fabozzi, PN Kolm, DA Pachamanova, SM Focardi
John Wiley & Sons, 2007
8652007
Project financing
PK Nevitt, FJ Fabozzi
Euromoney books, 2021
8552021
60 years of portfolio optimization: Practical challenges and current trends
PN Kolm, R Tütüncü, FJ Fabozzi
European Journal of Operational Research 234 (2), 356-371, 2014
7072014
Beta as a random coefficient
FJ Fabozzi, JC Francis
Journal of Financial and Quantitative Analysis 13 (1), 101-116, 1978
6561978
Financial management and analysis
FJ Fabozzi, PP Peterson
John Wiley & Sons, 2003
6552003
The legacy of modern portfolio theory
FJ Fabozzi, F Gupta, HM Markowitz
The journal of investing 11 (3), 7-22, 2002
6422002
Mercados e instituciones financieras
FJ Fabozzi, F Modigliani, MG Ferri
Pearson Educación, 1996
5701996
Stability tests for alphas and betas over bull and bear market conditions
FJ Fabozzi, JC Francis
The Journal of Finance 32 (4), 1093-1099, 1977
5551977
Manajemen investasi
FJ Fabozzi
Salemba Empat, 1999
5391999
Foundations financial markets and institutions
F Fabozzi, F Modigliani, F Jones
Pearson, 2014
5262014
Investment management
FJ Fabozzi
(No Title), 1995
5121995
Bayesian methods in finance
ST Rachev, JSJ Hsu, BS Bagasheva, FJ Fabozzi
John Wiley & Sons, 2008
495*2008
Fat-tailed and skewed asset return distributions: implications for risk management, portfolio selection, and option pricing
ST Rachev, C Menn, FJ Fabozzi
John Wiley & Sons, 2005
4802005
Sin stock returns
FJ Fabozzi, KC Ma, BJ Oliphant
The Journal of Portfolio Management 35 (1), 82-94, 2008
4722008
Size, value, and momentum in emerging market stock returns
N Cakici, FJ Fabozzi, S Tan
Emerging Markets Review 16, 46-65, 2013
4522013
Operational risk: a guide to Basel II capital requirements, models, and analysis
AS Chernobai, ST Rachev, FJ Fabozzi
John Wiley & Sons, 2008
4262008
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