KI – Unterstützung im Portfoliomanagement
Fachtagung Sparkassen Vermögensverwaltung
Hier eine Übersicht über aktuelle und vergangene Vorträge
Fachtagung Sparkassen Vermögensverwaltung
ASSETS & LIABILITIES CONVENTION
Bankensymposium: Unstructured Data in Banking and Finance, 17. September 2025, Uni Duisburg-Essen
Deka Forum betriebliche Altersversorgung 2025
Deutsches Forschungszentrum für Künstliche Intelligenz DFKI, Saarbrücken
Deka Brown Bag Seminar
KI-Gipfel, Berlin
DekaNXT, Kap Europa, Frankfurt
Investment Forum, Salzburg
Inquire UK Practitioner Seminar
World Finance and Banking Conference
Machine Learning Approaches for Stock Selection
Machine Learning Approaches for Equity Market Predictions
Machine Learning Approaches for Equity Market Predictions
Machine Learning Approaches for Equity Market Predictions
Asset Manager Capitalism, Stakeholder Management and Share Buybacks
Optimal Asset Allocation Strategies: Sector vs. Country
Systematic or Idiosyncratic? Spillover Effects in Corporate Bond Markets and Portfolio Implications
Residual Equity Momentum Spillover in Global Corporate Bond Markets
Portfolio Optimization with Industry Return Prediction Models
Extending Fama-French Factors to Corporate Bond Markets
Optimal Asset Allocation Strategies: Sector vs. Country
Portfolio Optimization with Industry Return Prediction Models
Portfolio Optimization with Industry Return Prediction Models
Optimal Asset Allocation Strategies: Sector vs. Country
Optimal Asset Allocation Strategies: Sector vs. Country
Optimal Asset Allocation Strategies: Sector vs. Country
Systematic or Idiosyncratic? Spillover Effects in Corporate Bond Markets and Portfolio Implications
Optimal Asset Allocation Strategies: Sector vs. Country
Exploiting Uncertainty with Market Timing in Corporate Bond Markts
Portfolio Optimization with Industry Return Prediction Models
Extending Fama-French Factors To Corporate Bond Markets
Optimal Asset Allocation Strategies: Sector vs. Country
Optimal Asset Allocation Strategies: Sector vs. Country
Optimal Asset Allocation Strategies: Sector vs. Country