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2019
1 Døskeland, Trond M.; Pedersen, Lars Jacob Tynes.
Does Wealth Matter for Responsible Investment? Experimental Evidence on the Weighing of Financial and Moral Arguments. Business & society 2019
NHH Untitled
 
2018
2 Bjerksund, Petter; Døskeland, Trond M..
Oljefondet: Konsistent valg av aksjeandel og handlingsregel. Samfunnsøkonomen 2018 ;Volum 132.(5) s. 60-72
NHH Untitled
 
2017
3 Bjerksund, Petter; Døskeland, Trond M..
Active Fund Management: How Active Share, Tracking Error, and R-squared Are Related. I: Finance in Society: An Anthology in Honour of Thore Johnsen. Cappelen Damm Akademisk 2017 ISBN 978-82-02-51610-9. s. 156-185
NHH Untitled
 
2016
4 Døskeland, Trond M.; Pedersen, Lars Jacob Tynes.
Investing with Brain or Heart? A Field Experiment on Responsible Investment. Management science 2016 ;Volum 62.(6) s. 1632-1644
NHH Untitled
 
2011
5 Døskeland, Trond M.; Hvide, Hans K..
Do Individual Investors Have Asymmetric Information Based on Work Experience?. Journal of Finance 2011 ;Volum 66.(3) s. 1011-1041
NHH Untitled
 
2010
6 Døskeland, Trond M..
Investment Strategy of Sovereign Wealth Funds. Energy Systems 2010 s. 3-17
NHH Untitled
 
7 Døskeland, Trond M..
Investment strategy of sovereign wealth funds. I: Energy, natural resources and environmental economics. Springer 2010 ISBN 978-3-642-12066-4. s. 3-17
NHH Untitled
 
2008
8 Døskeland, Trond M.; Nordahl, Helge.
Intergenerational Effects of Guaranteed Pension Contracts. The Geneva Risk and Insurance Review 2008 ;Volum 33.(1) s. 19-46
NHH Untitled
 
9 Døskeland, Trond M.; Nordahl, Helge.
Optimal pension insurance design. Journal of Banking & Finance 2008 ;Volum 32.(3) s. 382-392
NHH Untitled
 
10 Nordahl, Helge A.; Døskeland, Trond M..
Intergenerational effects of guaranteed pension contracts. The Geneva Risk and Insurance Review 2008 ;Volum 33.(1) s. 19-46
NHH Untitled
 
11 Nordahl, Helge A.; Døskeland, Trond M..
Optimal pension insurance design. Journal of Banking & Finance 2008 ;Volum 32.(3) s. 382-392
NHH Untitled
 
2007
12 Døskeland, Trond M..
Strategic asset allocation for a country. Financial Markets and Portfolio Management 2007 ;Volum 21.(2) s. 167-201
NHH Untitled