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The Resource Planning Problem Master Thesis
Nijboer, J.
January 2023 -
Parametric Portfolio Policies: Is it still worthwhile to use firm characteristics for large-N portfolio allocation in the presence of transaction costs? Master Thesis
Samlal, K.D.M.
January 2023 -
A Climate Risk Assessment of Eurozone Banks Master Thesis
Raaijmakers, F.L.
December 2022 -
Managing (Q, R) Inventory System with Priority-Differentiated Customer Class and Demand Lead Times Master Thesis
Doxopoulos, C.
December 2022 -
Factor Models for the Implied Volatility Surface Master Thesis
Nagelkerken, R.J.
December 2022 -
Markov Switching Models, Dynamic Factor Models, or both? Comparing models in an elaborate simulation study and an application in macroeconomics. Master Thesis
Edel, M.T.
December 2022 -
Dynamic portfolio allocation by parametric portfolio policies Master Thesis
Kranjcev, L.
December 2022 -
Constructing pooled forecasts based on leading recession indicators to predict multiple-day variance Master Thesis
Corper, Y.M.
December 2022