Karl Weinmayer

Vienna University of Economics and Business - Institute for Finance, Banking and Insurance

Senior Lecturer

Welthandelsplatz 1

Building D4, 4th floor

Vienna, 1020

Austria

SCHOLARLY PAPERS

5

DOWNLOADS
Rank 29,298

SSRN RANKINGS

Top 29,298

in Total Papers Downloads

3,617

TOTAL CITATIONS
Rank 46,939

SSRN RANKINGS

Top 46,939

in Total Papers Citations

39

Scholarly Papers (5)

1.

Caveat Emptor: Does Bitcoin Improve Portfolio Diversification?

Number of pages: 21 Posted: 15 Mar 2014 Last Revised: 04 Jun 2015
Vienna University of Economics and BusinessVienna University of Economics and Business - Institute for Finance, Banking and Insurance, Vienna University of Economics and Business - Institute for Finance, Banking and Insurance and Vienna University of Economics and Business - Institute for Finance, Banking and Insurance
Downloads 3,166 (8,164)
Citation 38

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Bitcoin, Portfolio Optimization, Conditional Value at Risk, Virtual Currencies

2.

Passive ESG Portfolio Management - The Benchmark Strategy for Socially Responsible Investors

Number of pages: 44 Posted: 17 Jun 2019
Vienna University of Economics and Business - Department of Finance, Accounting & Statistics, Vienna University of Economics and Business - Department of Corporate Finance and Vienna University of Economics and Business - Institute for Finance, Banking and Insurance
Downloads 368 (168,111)
Citation 1

Abstract:

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sustainable nance, portfolio management, fund management, social - nance, asset management, asset pricing, factor analysis, socially responsible investing

3.

Efficiency of Socially Responsible Investments in the Context of Portfolio Management

Number of pages: 33 Posted: 22 Feb 2022
Karl Weinmayer and Margarethe Rammerstorfer
Vienna University of Economics and Business - Institute for Finance, Banking and Insurance and Vienna University of Economics and Business - Department of Corporate Finance
Downloads 83 (614,873)

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Portfolio Optimization, Socially Responsible Investments, Efficiency Analysis, International Financial Markets, Multi-directional Efficiency Analysis, Sustainable Finance, ESG

4.

Internal Capital Markets and Bank Holding Company Efficiency

Posted: 22 Feb 2018
Vienna University of Economics and Business - Institute for Finance, Banking and Insurance, Vienna University of Economics and Business - Department of Corporate Finance and Free University of Bozen-Bolzano - Faculty of Economics and Management

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Double Leverage, Bank Holding Companies, Subsidiary, Data Envelopment Analysis

5.

Markowitz Revisited Social Portfolio Engineering

European Journal of Operational Research (EJOR)
Posted: 18 Aug 2014 Last Revised: 29 Oct 2016
Vienna University of Economics and Business - Institute for Finance, Banking and Insurance, Vienna University of Economics and Business - Department of Corporate Finance and Vienna University of Economics and Business - Institute for Finance, Banking and Insurance

Abstract:

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Socially Responsible Investments, Portfolio Optimization, International Financial Markets