Amanote Research
Register
Sign In
Discover open access scientific publications
Search, annotate, share and cite publications
Publications by Qiji Zhu
A General Framework for Portfolio Theory. Part II: Drawdown Risk Measures
Risks
Management
Finance
Economics
Strategy
Accounting
Econometrics
Related publications
A Comparison Among Performance Measures in Portfolio Theory
IFAC Proceedings Volumes
Multi-Period Portfolio Selection With Drawdown Control
Annals of Operations Research
Management Science
Decision Sciences
Operations Research
A General Theory of Spectra: II
Proceedings of the National Academy of Sciences of the United States of America
Multidisciplinary
Efficient Portfolio Optimization in the Wealth Creation and Maximum Drawdown Space
Coding Theory: A General Framework and Two Inverse Problems
Fundamenta Informaticae
Information Systems
Algebra
Number Theory
Mathematics
Computational Theory
Theoretical Computer Science
Coherent Measures of Risk From a General Equilibrium Perspective
Journal of Banking and Finance
Economics
Econometrics
Finance
Portfolio Theory
Science
Multidisciplinary
Philosophy of Science
History
Portfolio Theory
Journal of Japan Society for Fuzzy Theory and Systems
Fundamental Limits of Wideband Localization— Part I: A General Framework
IEEE Transactions on Information Theory
Computer Science Applications
Information Systems
Library
Information Sciences