Position Ph.D student Department Department of Econometrics Doctoral studies details Supervisor PhDr. Jiří Kukačka, Ph.D. Begin of study 2018-09-24 Faculty Fakulta sociálních věd UK Type of study prezenční Thema of Study (CS) Economics Name of Work Behavioral Finance-based Optimal Portfolio Allocation: Linkages to Market Risk Submitted by kukacka on Sun, 11/15/2020 - 14:57