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Antti Suhonen
Professor of Practice
,
Department of Finance
1997
2022
Research activity per year
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(6)
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(5)
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Dive into the research topics where Antti Suhonen is active. These topic labels come from the works of this person. Together they form a unique fingerprint.
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Business & Economics
Risk Premia
100%
Alternatives
51%
Investing
46%
Overfitting
40%
Long-term Returns
40%
Fixed Income
36%
Alternative Investments
34%
Investment Banks
33%
Credit Markets
29%
Institutional Investors
28%
Investment Strategy
27%
Financial Institutions
24%
Sharpe Ratio
19%
Equity
19%
Managers
18%
Bond Market
18%
Performance
16%
Equity Markets
16%
Assets
13%
Portfolio Strategy
11%
Pensions
11%
Investors
11%
Fees
11%
Robustness
8%
Data Base
8%
Time-varying
8%
Capital Markets
8%
Portfolio Construction
7%
Deterioration
7%
Risk Allocation
7%
Trading Strategies
7%
Benchmark
7%
Risk Characteristics
7%
Wealth
7%
Industry
6%
Market Strategy
6%
Commodity Markets
6%
Market Risk
5%