Results 101 to 110 of about 348,165 (301)
Modern bank management comprises both classical lending business and transfer of asset risk to capital markets through securitization. Sound knowledge of the risks involved in securitization transactions is a prerequisite for solid risk management.
Krahnen, Jan Pieter, Wilde, Christian
core +1 more source
Plant Genetic Engineering: Technological Pathways, Application Scenarios, and Future Directions
This review maps the fast‐evolving landscape of plant genetic engineering, linking enabling platforms with trait‐focused applications in architecture optimization, stress resilience, yield improvement, and quality enhancement. It highlights how genome editing, transgenic strategies, and emerging multi‐gene approaches reshape breeding pipelines, while ...
Peilin Wang +4 more
wiley +1 more source
Robust portfolio optimization for banking foundations: a CVaR approach for asset allocation with mandatory constraints. [PDF]
Arcuri MC, Gandolfi G, Laurini F.
europepmc +1 more source
Coherent Asset Allocation and Diversification in the Presence of Stress Events [PDF]
We propose a method to integrate frequentist and subjective probabilities in order to obtain a coherent asset allocation in the presence of stress events.
Denev, Alexander, Rebonato, Riccardo
core +1 more source
Hepatocyte BDNF Acts as a Novel Immune Checkpoint to Restrain TLR4‐Mediated Acute Hepatitis
This study identifies hepatocyte‐derived BDNF as an endogenous TLR4 antagonist that alleviates acute hepatitis. BDNF is downregulated in hepatocytes via REST‐mediated transcriptional repression during ALI/ALF. Mechanistically, BDNF binds to TLR4 on macrophages to suppress inflammation.
Weiwei Zhu +15 more
wiley +1 more source
Health shock, medical insurance and financial asset allocation: evidence from CHFS in China. [PDF]
Liu Y, Hao Y, Lu ZN.
europepmc +1 more source
How To Diversify Internationally: A Comparison of Conditional and Unconditional Asset Allocation Methods [PDF]
To obtain the maximum benefits from diversification, financial theory suggests that investors should invest internationally because of the larger potential for risk reduction stemming from the lower correlation exisiting between assets of different ...
Dušan ISAKOV, Laurent BARRAS,
core
A biotin‐modified artificial insertion peptide functionalized three‐dimensional high‐curvature‐TiO2 nano‐interface was engineered in a microfluidic chip to improve the isolation efficiency of small extracellular vesicles (sEVs). This chip balanced affinity, releasability, and extendibility, enabling high‐throughput recovery of sEVs for downstream ...
Le Wang +7 more
wiley +1 more source
Dynamic Asset Allocation With Event Risk [PDF]
Major events often trigger abrupt changes in stock prices and volatility. We study the implications of jumps in prices and volatility on investment strategies.
Francis A. Longstaff, Jun Liu, Jun Pan
core
Outperforming the S&P 500 Using Top-Down Asset Allocation [PDF]
This paper investigates whether portfolio managers can outperform the S&P 500 index using top-down asset allocation, using historical returns, standard deviations, and correlations of different asset classes.
Lanier, Benjamin
core +2 more sources

