S
S. Satchell
13 works on record
Works

Collectible investments for the high net worth investor

Forecasting expected returns in the financial markets

Return distributions in finance

Advances in portfolio construction and implementation

Managing downside risk in financial markets

The analytics of risk model validation

Performance measurement in finance

Forecasting volatility in the financial markets

Linear factor models in finance

Forecasting volatility in the financial markets

Forecasting expected returns in the financial markets

Forecasting volatility in the financial markets

The analytics of risk model validation