SCHERER Bernd, PhD

Research Associate, EDHEC-Risk Institute

Speciality : Finance

Contact

Email : research@edhec-risk.com

Main academic publications

Journal of Derivatives (2013), Journal of Hedge Funds and Derivatives (2013), Journal of Wealth Management (2012 ; 2017 ; 2018), Journal of Empirical Finance (2011 ; 2019), Journal of Alternative Investments (2010 ; 2011 ; 2020), Journal of Applied Corporate Finance (2010), Banque et Marchés (2010), Journal of Risk Model Validation (2010), Journal of Financial Markets (2010), Journal of Trading (2009), Journal of Economics and Statistics (1993), Financial Markets and Portfolio Management (2003 ; 2004 ; 2009 ; 2017), Journal of Banking and Finance (2009), Journal of Investment Management (2007), Journal of Portfolio Management (2006 ; 2007 ; 2013 ; 2018 ; 2020), Journal of Asset Management (2001 ; 2004 ; 2006 ; 2007 ; 2008 ; 2010 ; 2011 ; 2020), Risk (2000 ; 2004), Deutsches Risk (2002 ; 2004), Financial Analysts Journal (2008), Journal of Private Portfolio Management (1998 ; 1999)

Documents to download

Pdf
CV - Bernd Scherer, PhD...
(-1.00 B)

EDHEC Publications

MiFID II forces banks and wealth managers to ask clients for their investment knowledge and experience. The implied regulatory view is that less...
The promise of robo-advisory firms is to provide low cost access to diversified portfolios built in accordance with the academic literature on...
Journal of Asset Management, 21, pages623–625 (2020)
Journal of Asset Management, 21, pages 178–191 (2020)
The Journal of Alternative Investments, Vol. 22, Issue 4, Spring 2020  

Pages