Dmitry Makarov
Dmitry Makarov
МИЭФ, Высшая Школа Экономики
Подтвержден адрес электронной почты в домене hse.ru
НазваниеПроцитированоГод
Strategic asset allocation in money management
S Basak, D Makarov
The Journal of Finance 69 (1), 179-217, 2014
712014
Difference in interim performance and risk taking with short-sale constraints
S Basak, D Makarov
Journal of Financial Economics 103 (2), 377-392, 2012
352012
A note on wealth effect under CARA utility
D Makarov, AV Schornick
Finance Research Letters 7 (3), 170-177, 2010
192010
Strategic Asset Allocation with Relative Performance Concerns
S Basak, D Makarov
192008
Difference in interim performance and risk taking
D Makarov
working paper, 2008
142008
Competition among portfolio managers and asset specialization
S Basak, D Makarov
132015
Explaining Households’ Investment Behavior
D Makarov, AV Schornick
102010
Strategic Asset Allocation in Money Management
S Basak, D Makarov
The Journal of Finance 69 (1), 5, 2013
22013
Security Design with Status Concerns
S Basak, D Makarov, A Shapiro, MG Subrahmanyam
Available at SSRN 2556344, 2018
12018
Capital Market Equilibrium with Competition among Institutional Investors
S Glebkin, D Makarov
12013
Wealth Effect with CARA Utility: Portfolio Choice in the Presence of Costly Information
DS Makarov, AV Schornick
working paper, 2007
12007
Academic Program, 2012/2013 academic year
L Miner, O Shibanov, D Tarr, S Khrapov, P Katyshev, D Makarov, ...
Дополнительное образование 1999 (2000), 2014
2014
Household investments, limited participation and equity premium with wealth heterogeneity
D Makarov, A Schornick
2013
Limited participation and equity premium under heterogeneous uncertainty aversion
D Makarov, AV Schornick
2012
DP8457 Strategic Asset Allocation in Money Management
S Basak, D Makarov
2011
DP8072 Difference in Interim Performance and Risk Taking with Short-Sale Constraints
S Basak, D Makarov
2010
Can Information Acquisition Really Explain a Positive Relation Between Wealth and Risky Investments?
DS Makarov, AV Schornick
2008
Portfolio choice with relative considerations and asymmetric information
D Makarov
London Business School (University of London), 2007
2007
Household investments, limited participation and equity premium with wealth heterogeneity
A Schornick, D Makarov
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Статьи 1–19