| |  | |
Articles
STOXX Limited's index experts regularly publish academic research as well as editorial
articles, and participate in interviews on different topics. For further information on these,
or to schedule an interview with one of our experts, please
contact our Public Relations department.
-
Boom of emerging markets
by Dr. Hartmut Graf, Chief Executive Officer
October 2011
-
Volatility measures market risk
by Konrad Sippel, Executive Director Product Development
October 2011
-
Transparency and flexibility stand out in the flood of "sustainable" products
by Konrad Sippel, Executive Director Product Development
October 2011
-
Optimal Leverage: A dynamic allocation approach to capturing the optimal risk-return ratio
by Ruben Feldman, Product Development Manager, Buy-Side
October 2011
-
Risk Management in the Index Business
by Guido Giese, Director Product Development, Buy-Side
June 2011
-
New paradigms in indexing
by Guido Giese, Director Product Development, Buy-Side
June 2011
-
Trading the whole market in one product
by Dr. Hartmut Graf, Chief Executive Officer
May 2011
-
Particulars of the index are significant
by Dr. Hartmut Graf, Chief Executive Officer
March 2011
-
The Difference is in the Index
by Dr. Hartmut Graf, Chief Executive Officer
November 2010
-
Risk Controled Investment Strategies
by Guido Giese, Director Product Development, Buy-Side
November 2010
-
Volatilitätsindizes messen erwartete Marktrisiken
by Konrad Sippel, Executive Director Sell-Side Business
October 2010
-
Volatility as an Asset Class
by Guido Giese, Director Product Development, Buy-Side
August 2010
-
On the risk-return profile of leveraged and inverse ETFs
by Guido Giese, Director Product Development, Buy-Side
January 2010
| | | |