Frank Fabozzi

Professor

Main contributions

Structural Change and Economic Dynamics (2022), Journal of Economic Dynamics and Control (2022), The Journal of Alternative Investments (2020 ; 2021 ; 2022), The Journal of Portfolio Management (2013 ; 2014 ; 2015 ; 2016 ; 2017 ; 2019 ; 2020 ; 2021 ; 2022), European Journal of Operational Research (2014 ; 2016 ; 2017 ; 2022), Applied Financial Economics (2022), International Journal of Forecasting (2022), Journal of Financial Intermediation (2021), Econometric Reviews (2020), The Journal of Derivatives (2020 ; 2021), Journal of Economics Perspectives (2020), The Journal of Real Estate Finance and Economics (2020), Annals of Finance (2020), Review of Financial Economics (2019 ; 2021), Journal of Forecasting (2019), Real Estate Economics (2019), Quarterly Review of Economics and Finance (2017), Communications in Statistics - Simulation and Computation (2017), Review of Finance (2017), International Journal of Finance & Economics (2017 ; 2021), Journal of International Money and Finance (2016 ; 2019 ; 2021), Journal of Derivatives (2015 ; 2016 ; 2018 ; 2019 ; 2020), Journal of Financial Research (2015), Computational Economics (2015 ; 2019), North American Actuarial Journal (2015), Journal of Financial Engineering (2015), Journal of Pension Economics and Finance (2015), Journal of Asset Management (2014 ; 2016 ; 2017 ; 2020 ; 2021), Journal of Statistical Theory and Practice (2014), Journal of Banking & Finance (2014 ; 2016), Journal of Optimization and Applications (2014), Economics Letters (2014 ; 2017), Journal of Economic Dynamics & Control (2014), International Review of Financial Analysis (2013 ; 2014 ; 2015 ; 2016 ; 2019), Applied Economics (2013 ; 2015 ; 2016 ; 2017 ; 2018 ; 2019), International Journal of Theoretical and Applied Finance (2012 ; 2013 ; 2016 ; 2019 ; 2020), Finance Research Letters (2013 ; 2019), Emerging Markets Review (2013), Studies in Nonlinear Dynamics & Econometrics (2013 ; 2021), Annals of Operations Research (2012 ; 2013 ; 2018 ; 2019 ; 2021), European Financial Management (2012), Review of Quantitative Finance and Accounting (2012 ; 2021), Quantitative Finance (2012 ; 2014 ; 2015), The Journal of Fixed Income (2012 ; 2013 ; 2014 ; 2016 ; 2017 ; 2018 ; 2020 ; 2021 ; 2022), Review of Derivatives Research (2012)

Discipline: Finance
Faculty: Data Science, Economics & Finance
Expertise: Analyse des titres à revenu fixe, Gestion des placements et financement structuré

Publications of Frank Fabozzi

14.09.2010 - Book publication

Probability and statistics for finance.

RACHEV Svetlozar T., Höchstötter Markus, Frank Fabozzi, Focardi Sergio
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September 2010


05.05.2010 - Book publication

Quantitative equity investing: techniques and strategies.

Frank Fabozzi, Focardi Sergio, KOLM Petter N.
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May 2010


01.01.2010 - Book publication

Investment management after the global financial crisis.

Frank Fabozzi, Focardi Sergio, Jonas Caroline
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January 2010


12.10.2009 - Book publication

The mathematics of financial modeling and investment management.

Focardi Sergio, Frank Fabozzi
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October 2009


10.09.2008 - Working paper

Index-Exciting CAViaR: A New Empirical Time-Varying Risk Model

Frank Fabozzi, Focardi Sergio, Masao Fukushima, Dashan Huang, Zudi Lu, Baimin Yu
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September 2008