Results 101 to 110 of about 628,243 (193)
Delegated Portfolio Management and Risk Taking Behavior [PDF]
Standard models of moral hazard predict a negative relationship between risk and incentives; however empirical studies on mutual funds present mixed results.
Benjamin Miranda Tabak +2 more
core
Dryland Wheat variety selection in the Texas High Plain [PDF]
Selecting the best wheat varieties affects producers’ profit and financial risk. This study identifies the optimal wheat variety selection using the portfolio approach at various risk aversion levels.
Amosson, Stephen H. +4 more
core +1 more source
Portfolio management based on value distribution reinforcement learning algorithm. [PDF]
Yang Y, Wang T, Fu Y, Huang J, Zhou D.
europepmc +1 more source
Explainable post hoc portfolio management financial policy of a Deep Reinforcement Learning agent. [PDF]
de-la-Rica-Escudero A +2 more
europepmc +1 more source
Enhancing portfolio management using artificial intelligence: literature review. [PDF]
Sutiene K +9 more
europepmc +1 more source
From the microscope to the macroscopic: changing from the bench to portfolio management. [PDF]
Sachs M.
europepmc +1 more source
A nonlinear bi-level programming approach for product portfolio management. [PDF]
Ma S.
europepmc +1 more source

