Paper published in the Journal of Portfolio Management

Feed URL: https://blogs.kent.ac.uk/financecentre-news/2013/10/11/paper-published-in-the-journal-of-portfolio-management/feed/?withoutcomments=1

Prof. Radu Tunaru and Dr. Silvia Stanescu have just published a paper in the Journal of Portfolio Management. The paper is entitled “Commercial Real-Estate Risk Management with Derivatives” and it has been co-authored by Prof. Frank Fabozzi from EDHEC and Princeton.

This entry was posted in research. Bookmark the permalink.

Comments are closed.