Felix Goltz

Scientific Beta Director of Research

Main contributions

The Journal of Portfolio Management (2012 ; 2014 ; 2015 ; 2016 ; 2017 ; 2018 ; 2019), Journal of Index Investing (2011 ; 2012 ; 2013 ; 2015 ; 2016 ; 2018 ; 2019), Financial Analysts Journal (2011), Bankers, Markets & Investors (2010 ; 2011 ; 2012 ; 2013), Journal of Indexes (2011 ; 2012 ; 2014), Journal of Investment Management (2008 ; 2011), Journal of Performance Measurement (2012), Journal of Derivatives (2009), Journal of Alternative Investments (2008 ; 2009 ; 2010), European Financial Management (2007 ; 2009), Journal of Wealth Management (2009), Journal of Derivatives (2009), Journal of Fixed Income (2006), European Financial Management (2007 ; 2009); Journal of Financial Transformation (2007)

Discipline: Climate Finance
Faculty: Data Science, Economics & Finance
Expertise:

Publications of Felix Goltz

01.12.2009 - Working paper

Empirical Properties of Straddle Returns

Felix Goltz, Wan Ni Lai
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December 2009


26.05.2009 - EDHEC publication

The EDHEC European ETF Survey 2009

Noël Amenc, Felix Goltz, Adina Grigoriu
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EDHEC-Risk Institute publication, May 2009


04.05.2009 - Working paper

Static Allocation Decisions in the Presence of Portfolio Insurance

Felix Goltz, Lionel Martellini, Koray D. Simsek
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May 2009


26.01.2009 - EDHEC publication

A Long Road Ahead for Portfolio Construction: Practitioners’ Views of an EDHEC Survey

Felix Goltz
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EDHEC-Risk Institute publication, January 2009


03.11.2008 - EDHEC publication

Hedge Fund Reporting Survey

Felix Goltz, David Schroeder
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EDHEC-Risk Institute publication, November 2008