Paolo Vanini

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List of research outcomes

This list is not complete and representing at the moment only items from zbMATH Open and arXiv. We are working on additional sources - please check back here soon!

PublicationDate of PublicationType
Old-age provision: past, present, future
European Actuarial Journal
2017-06-06Paper
Multiperiod mean-variance efficient portfolios with endogenous liabilities
Quantitative Finance
2013-03-14Paper
Equilibrium impact of value-at-risk regulation
Journal of Economic Dynamics and Control
2008-11-25Paper
A geometric approach to multiperiod mean variance optimization of assets and liabilities
Journal of Economic Dynamics and Control
2008-10-24Paper
Robustness and Ambiguity Aversion in General Equilibrium *
Review of Finance
2005-04-29Paper
scientific article; zbMATH DE number 2065138 (Why is no real title available?)2004-05-18Paper
Optimal Decision-Making with Time Diversification
Review of Finance
2002-08-21Paper
A note on robustness in Merton's model of intertemporal consumption and portfolio choice
Journal of Economic Dynamics and Control
2002-03-03Paper
Geometry and analysis on isospectral sets. I: Riemannian geometry, asymptotic case
Journal of Geometry and Physics
1999-10-19Paper
Geometry and analysis on isospectral sets. II: Grassmannian, determinant bundle and the tau function, asymptotic case
Journal of Geometry and Physics
1997-01-05Paper
Mixed quantum mechanical periodic and potential wall problem
Letters in Mathematical Physics
1995-01-31Paper


Research outcomes over time


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