Daniel Jakubowski is an author at KU Leuven specializing in portfolio optimization, corporate governance, and portfolio selection.
Top concepts
FinanceBusinessAccountingManagementAsset PricingAsset AllocationCapital StructureEquity PortfoliosPortfolio SelectionCorporate Governance
Publications per year
2020–2021
2
2
ESG: A New Dimension in Portfolio Allocation
Jan De Spiegeleer, Stephan Höcht, Daniel Jakubowski et al. · SSRN Electronic Journal · 2020 · 15 citations · Full text
Rows per page
1–2 of 2