Optimal asset allocation for sovereign wealth funds

Author:

Gintschel Andreas,Scherer Bernd

Publisher

Springer Science and Business Media LLC

Subject

Information Systems and Management,Strategy and Management,Business and International Management

Reference5 articles.

1. Fasano, U. (2000) ‘Review of the Experience with Stabilisation and Savings Funds in Selected Countries’, Working Paper, IMF.

2. Ingersoll Jr, J. E. (1987) Theory of Financial Decision Making, Rowman and Littlefield, Lanham MD.

3. Kjaer, K. N. (2001) A national strategy for investing resource wealth, Speech at the BSI Gamma Foundation Conference on Global Asset Management Long Term Asset Management.

4. Melby, E. D. K. (2002) ‘A Global Overview of Oil Funds’, Presentation for the IGAF Symposium.

5. Norges Bank (2002) An appraisal of the regional weighting of the Petroleum Fund, Letter to the Ministry of Finance on 11th April, 2002.

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1. The Sovereign Wealth Fund and Nigerian Economic Development;East African Finance Journal;2024-01-20

2. The heterogeneous and evolving roles of sovereign wealth funds: Issues, challenges, and research agenda;Journal of International Business Policy;2023-06-26

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5. Sovereign Wealth Funds in Theory and Practice;Annual Review of Resource Economics;2022-10-05

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