Description
Philipp M. Becker investigates the attractiveness of microfinance investments for different investor categories applying scenario methodology in an asset allocation context. :Dr. Philipp M. Becker obtained his doctorate under the supervision of Prof. Dr. Pascal Gantenbein at the Swiss Institute of Banking and Finance, University of St. Gallen (Switzerland). He works in the asset management industry, focusing mainly on asset allocation and research. Introduction of Scenario Methodology in Asset Allocation; Implementation of a Scenario Process Analyzing Microfinance Investments with Leading Experts of Various Fields; Integration of Microfinance into an Asset Allocation Context; Includes Various Portfolio Allocations and Backtests




