Follow
Volker Ziemann
Volker Ziemann
Verified email at oecd.org
Title
Cited by
Cited by
Year
Improved estimates of higher-order comoments and implications for portfolio selection
L Martellini, V Ziemann
The Review of Financial Studies 23 (4), 1467-1502, 2010
2352010
Extending Black-Litterman analysis beyond the mean-variance framework
L Martellini, V Ziemann
Journal of Portfolio Management 33 (4), 33, 2007
952007
Passive hedge fund replication–Beyond the linear case
N Amenc, L Martellini, JC Meyfredi, V Ziemann
European Financial Management 16 (2), 191-210, 2010
872010
Inflation-hedging properties of real assets and implications for asset–liability management decisions
N Amenc, L Martellini, V Ziemann
The Journal of Portfolio Management 35 (4), 94-110, 2009
702009
Asset-liability management in private wealth management
N Amenc, L Martellini, V Milhau, V Ziemann
The Journal of Portfolio Management 36 (1), 100-120, 2009
492009
Empirical links between housing markets and economic resilience
B Cournède, S Sakha, V Ziemann
OECD, 2019
242019
Alternative investments for institutional investors, risk budgeting techniques in asset management and asset-liability management
N Amenc, L Martellini, V Ziemann
The Journal of Portfolio Management 35 (4), 94-110, 2009
222009
Reaping the benefits of global value chains in Turkey
V Ziemann, B Guérard
OECD, 2017
202017
Do Structural Policies Affect Macroeconomic Stability?
V Ziemann
OECD, 2013
172013
Debt and macroeconomic stability: Debt and the business cycle
V Ziemann
OECD, 2012
172012
The future of housing: policy scenarios
B Cournède, V Ziemann, F De Pace
OECD, 2020
122020
Performance of passive hedge fund replication strategies
N Amenc, L Martellini, JC Meyfredi, V Ziemann
EDHEC Risk and Asset Management Research Centre (September 2009), 2009
112009
Effects of pro-growth policies on the economic stability of firms, workers and households
B Cournède, P Garda, P Hoeller, V Ziemann
OECD Economic Policy Paper, 2015
102015
Economic policies and microeconomic stability: a literature review and some empirics
P Garda, V Ziemann
OECD, 2014
102014
Asset-liability management decisions in private banking
N Amenc, L Martellini, V Ziemann
EDHEC Risk and Asset Management Research Centre Publication, 2007
102007
The Benefits of Hedge Funds in Asset Liability Management
L Martellini, V Ziemann
Alternative Investment Quarterly, EDHEC Risk and Asset Management Research …, 2005
102005
Investing in hedge funds: Adding value through active style allocation decisions
L Martellini, M Vaissié, V Ziemann
Journal of Portfolio Management, 2005
92005
Changes in the geography housing demand after the onset of COVID-19: First results from large metropolitan areas in 13 OECD countries
R Ahrend, M Bétin, MP Caldas, B Cournède, MD Ramirez, PA Pionnier, ...
OECD, 2022
82022
Mortgage finance across OECD countries
F van Hoenselaar, B Cournède, F De Pace, V Ziemann
OECD, 2021
82021
Towards more gender equality in Austria
V Ziemann
OECD, 2015
82015
The system can't perform the operation now. Try again later.
Articles 1–20