Results 171 to 180 of about 513,531 (373)
End‐to‐End Portfolio Optimization with Hybrid Quantum Annealing
This works presents a hybrid quantum‐classical framework for portfolio optimization that combines quantum assisted asset selection and rebalancing with classical weight allocation. The approach processes real market data, embeds it into Quadratic Unconstrained Binary Optimization formulations, and evaluates performance within a unified workflow ...
Sai Nandan Morapakula +5 more
wiley +1 more source
ABSTRACT Research‐practice partnerships addressing climate change education face challenges navigating political resistance, epistemic tensions, and systemic inequities within schools and communities. Recent scholarship has outlined transformative climate change education (TCCE) as requiring the simultaneous transformation of curricula, pedagogies, and
Amal Ibourk, Deb L. Morrison
wiley +1 more source
ABSTRACT Climate change poses a significant threat to global energy security, yet the mechanisms through which this relationship unfolds—and the factors that buffer their adverse impacts—remain underexplored. This study examines the link between climate change, proxied by CO2 emissions, and energy security risk (ESR), with a particular focus on the ...
Mohamed Sami Ben Ali +2 more
wiley +1 more source
PENGGUNAAN ALGORITMA GENETIKA UNTUK PEMILIHAN PORTFOLIO SAHAM DALAM MODEL MARKOWITZ
Modern portfolio theory is based on asumption that investor can choose his proportion asset in portfolio, so they can minimize the risk and maximize the return.
Silvia Rostianingsih, Wawan Taufiq N.
doaj
ABSTRACT The role of Development Finance Institutions (DFIs) in achieving the Sustainable Development Goals (SDGs) is a topic of growing scholarly importance. While existing literature has mapped the thematic scope of this field, a critical diagnosis of its intellectual structure and inherent biases is missing.
Juan Martinez Alvarez +3 more
wiley +1 more source
ABSTRACT The 2020–2024 period marks a pivotal era in sustainable development, characterized by significant regulatory developments, including the EU Corporate Sustainability Reporting Directive (CSRD), the International Sustainability Standards Board standards, and the introduction of mandatory ESG reporting requirements worldwide. This review examines
Jiyeon Kim, Wooyoung Yang
wiley +1 more source
Integration of sustainability into modern portfolio theory [PDF]
Benjamin Tobias Peylo
openalex
Portfolio Performance Evaluation based on Post Modern Portfolio Theory
Kim Bong Jun
openalex +2 more sources
ABSTRACT In 2024, global annual issuance exceeded USD 1.1 trillion mostly through green bonds, credits, and sustainability‐linked instruments, yet significant regional disparities remain. This article examines how Qatar and Türkiye, two hydrocarbon‐dependent but rapidly transitioning economies, are integrating green finance into their sustainability ...
Furkan Ahmad +4 more
wiley +1 more source

