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Industry Report

Brokerage Wealth Management Apps

Knowledge Graph Entities
Dominant · Search Engine Appearances ρ=0.452

AI recommendation signal analysis across 637 domains and 11 buyer personas in Brokerage Wealth Management Apps, led by fidelity.com as the most LLM-recommended domain.

637Domains Tracked
11Buyer Personas
knowledge_graph_entities.report
EntityScore
Fisher Investments België
69.8
Royal Bank of Canada
64.2
IBM
60.0
Merrill
49.7
JPMorgan Chase
47.9
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About This Report

How to use this page

Industry view: this page aggregates every persona's data for the whole industry, plus industry-wide queries. Pick a persona from the sidebar to narrow the lens to one segment.
Use Case

Check your knowledge-graph footprint

Wikidata is the structured knowledge graph behind Wikipedia, search engines, and many AI systems. If the graph does not know a brand, machines have less to anchor an answer on. See which entities carry this segment's topics and brands, and whether its top domains have an entity at all.

How It's Calculated

Where the numbers come from

We scan every Wikidata entity record (labels, descriptions, property values) for this segment's topic phrases and brand hostnames. Entity records are short structured data, so counts run far smaller than article text. Coverage checks which entities claim each domain as an official website.

Overview

What's on this page

Top-entity charts, the full entity table, and a knowledge-graph coverage check for this segment's most LLM-recommended domains.

Segment Totals

Knowledge graph at a glance

How much of the Wikidata knowledge graph touches Brokerage Wealth Management Apps across all personas. Entity records are short structured data (labels, descriptions, property values), so these counts run far smaller than Wikipedia article text; what matters is which entities show up, not raw volume.

53K
Entities With Topic Matches
4,484
Entities Mentioning Brands
54K
Topic Phrase Matches
4,823
Brand Mentions
Top Domains

Knowledge graph coverage

Whether a Wikidata entity claims each of this segment's most LLM-recommended domains as its official website. A brand without an entity is invisible to systems that navigate the web through the knowledge graph.

21 of 25 top domains for Brokerage Wealth Management Apps have a knowledge-graph entity.

Wikidata

Top knowledge-graph entities

The entity records where Brokerage Wealth Management Apps's brands and topics appear, aggregated across all personas. Brand Mentions is the more reliable single ranking here; broadly used phrases can surface large unrelated entities in the topic view. Blended merges the two on a log scale (brand mentions weighted higher, 0 to 100). Bars and entity names link to the record; entities with no label show their Wikidata ID. The table follows the selected view.


EntityBlendedBrand MentionsTopic Matches
Fisher Investments België69.866
Royal Bank of Canada64.246
IBM60.0360
Merrill49.733
JPMorgan Chase47.942
American Century44.923
Webull44.232
Wells Fargo Private Bank44.232
American Express43.9130
socially responsible investing40.007
Goldman Sachs39.422
Schroders39.422
Bessemer Trust39.422
Pamela Thomas-Graham39.422
Fisher Investments39.422
Fisher Investments France39.422
Fisher Investments Italia39.422
Fisher Investments39.422
Fisher Investments Norden39.422
Fisher Investments39.422
Moomoo39.422
Forbes Best-In-State Wealth Advisor39.422
Forbes Top 250 Wealth Advisor39.422
American Express Platinum Card38.390
Tesla37.406
Membership Rewards36.580
Credit Suisse34.670
Rollo34.505
eToro32.360
American Express Gold Card32.360
UBS31.621
The Vanguard Group31.621
HSBC Private Bank31.621
Financial Advisor31.621
Thinkorswim31.621
Merrill Edge31.621
Fisher Investments31.621
Fisher Investments Canada31.621
Globex Trading System31.621
ThinkMarkets31.621
Addison Avenue Investment Services31.621
UBS Securities LLC31.621
Bloomberg Bpool31.621
krish567366 / AlphaForge31.621
alphaforge31.621
private banking31.004
iron butterfly31.004
Michael Kashani31.004
Data Analytics for Machine Learning29.850
Wells Fargo26.740
Disease Ontology26.740
Libertinus26.740
Jordan/Zalaznick Advisers Inc.26.740
asset allocation26.703
covered call26.703
options trading strategy26.703
bull spread26.703
protective put26.703
securities account26.703
stockbroker26.703
calendar spread26.703
debit spread26.703
diagonal spread26.703
iron condor26.703
vertical spread26.703
credit spread26.703
investment management26.703
wealth management26.703
Journal of Real Estate Portfolio Management26.703
Investment Management Consultants Association26.703
bull call spread26.703
long iron butterfly26.703
short iron butterfly26.703
long iron condor26.703
short iron condor26.703
payoff at maturity of covered call26.703
break-even share price of covered call26.703
maximum profit at maturity of covered call26.703
maximum loss at maturity of covered call26.703
payoff at maturity of protective put26.703
break-even share price of protective put26.703
maximum profit at maturity of protective put26.703
maximum loss at maturity of protective put26.703
Capital.com26.703
Short Selling and the Continuous Overreaction in Chinese Stock Market——Based on the Natural Experiment of Margin Trading26.703
Impacts of margin trading and short selling on Chinese listed firms’ corporate governance26.703
Sean Bloom26.703
Negative screening and sustainable portfolio diversification26.703
Financial Literacy, Risk Tolerance and Stock Market Participation26.703
Are Passive Index Funds Active Owners? Corporate Governance Consequences of Passive Investing26.703
Ákos Menyhei26.703
Online Brokers Australia26.703
Retirement Income Certified Professional26.703
MyInvestmentIdeas26.703
Stockbridge Private Wealth Management26.703
Kurt Altrichter26.703
MH Global Advisory26.703
Real Value Portfolio Management & Marketing26.703
Nasdaq24.911
BlackRock24.911
FTSE 100 Index24.911
Invesco24.911
iShares24.911
Dodge & Cox24.911
PIMCO24.911
Wellington Management Company24.911
AllianceBernstein24.911
Calvert Investments24.911
Charles Stanley & Co. Limited24.911
Eaton Vance24.911
J.P. Morgan Asset Management24.911
Lightspeed Financial24.911
Nuveen Investments24.911
State Street Global Advisors24.911
TD Ameritrade24.911
Addepar24.911
Impax Asset Management Group24.911
Fundrise24.911
Worth24.911
FutureAdvisor24.911
Wealthfront24.911
Wealthsimple24.911
New York Life Investments24.911
Maximo24.911
Fisher Investments España24.911
Fisher Investments UK24.911
UBS AG London Branch - Trading24.911
UBS Trading24.911
UBS Europe SE - Trading24.911
UBS PIN (UBS Price Improvement Network)24.911
Nasdaq Fixed Income Trading24.911
Credit Suisse Aes Crossfinder Europe24.911
Morgan Stanley MTF - Continuous Cross Dark24.911
Morgan Stanley MTF - Negotiated Trade24.911
UBS PIN-FX24.911
BNY Mellon Investment Management24.911
Captrust24.911
Janney24.911
Cresset24.911
Forbes Best-in-State Top Financial Security Professional24.911
Forbes Best-in-State Top Wealth Management Team24.911
Nelson Wealth Management24.911
Invesco Bond Income Plus Limited24.911
The Goldman Sachs Charitable Gift Fund24.911
FatFIRE24.911
PricewaterhouseCoopers23.030
Ledger23.030
Success23.030
IBM Bluemix23.030
InfraKit23.030
emacs-gnuplot23.030
DAX21.102
option21.102
Aberdeen Asset Management21.102
Mary Callahan Erdoes21.102
financial adviser21.102
family office21.102
electronic trading platform21.102
mutual fund21.102
BNP Paribas Asset Management21.102
bear spread21.102
exchange-traded fund21.102
strangle21.102
day trader21.102
asset management21.102
expiration date21.102
AScX index21.102
butterfly21.102
financial independence21.102
day trading21.102
collar21.102
money market fund21.102
dollar cost averaging21.102
straddle21.102
spread21.102
Jones Lang LaSalle21.102
demat account21.102
economic security21.102
managed account21.102
Ave Maria Mutual Funds21.102
Education Resources Information Center21.102
investment advisor21.102
Indosuez Wealth Management21.102
XTB21.102
Banca Generali Private21.102
asset management company21.102
Amana Mutual Funds Trust21.102
backspread21.102
box spread21.102
Brookfield Properties21.102
CI Financial21.102
Central limit order book21.102
Cheswold Lane Asset Management21.102
Columbia Management Group21.102
Te Ara Ahunga Ora Retirement Commission21.102
Dan Zanger21.102
E-mini S&P21.102
First Command Financial Planning21.102
IGM Financial21.102
IRA Required Minimum Distributions21.102
intermarket spread21.102
Locked-In Retirement Account21.102
Mercury Asset Management21.102
options broker21.102
passive management21.102
Pattern day trader21.102
Profit Investment Management21.102
ratio spread21.102
retirement planning21.102
Roth IRA21.102
Royal London Asset Management21.102
Salida Capital21.102
TheStreet21.102
Trading account assets21.102
Waddell & Reed21.102
Wealth Transfer Group21.102
Yngve Slyngstad21.102
AIAF21.102
NYSE Arca21.102
Mizuho Private Wealth Management21.102
broker-dealer21.102
Paul Cusenza21.102
Zendesk21.102
Category:Mutual funds21.102
Baring Asset Management21.102
Black Creek Investment Management Inc.21.102
MyRA21.102
Brandywine Asset Management21.102
mutual fund fees and expenses21.102
risk reversal21.102
CanDeal.ca Inc21.102
National Association of Personal Financial Advisors21.102
Q1981945021.102
Robo-advisor21.102
ICICI Prudential Mutual Fund21.102
Majedie Asset Management21.102
Brookfield Property Partners21.102
Structured Portfolio Management21.102
Delaware Management Business Trust21.102
Institute of Financial Planning21.102
Edelweiss Broking Limited21.102
Stock Market Index Data and indicators for Day Trading as a Binary Classification problem21.102
Teaching retirement financial literacy in an undergraduate gerontology classroom: broadening the concept of the tripod or three-legged stool of retirement income utilizing active learning21.102
Validation of a new risk assessment tool: The Brief Risk Questionnaire21.102
Goal clarity and financial planning activities as determinants of retirement savings contributions21.102
Where do I put my money? Mutual funds versus exchange-traded funds21.102
Rethinking asset allocation: the case for portfolio diversification21.102
Motor axonal injury and amyotrophic lateral sclerosis: risk assessment using a reverse probability analysis technique21.102
The antenatal risk questionnaire (ANRQ): acceptability and use for psychosocial risk assessment in the maternity setting21.102
Diabetes Risk Assessment in Latinas: Effectiveness of a Brief Diabetes Risk Questionnaire for Detecting Prediabetes in a Community-Based Sample21.102
Individual Retirement Account Balances, Contributions, Withdrawals, and Asset Allocation Longitudinal Results 2010–2014: The EBRI IRA Database21.102
Measuring retirement income adequacy: calculating realistic income replacement rates.21.102
The growth of the private wealth management industry in Singapore and Hong Kong21.102
Historical weather data for climate risk assessment21.102
How normative interpretations of climate risk assessment affect local decision-making: an exploratory study at the city scale in Cork, Ireland21.102
Cushing Asset Management21.102
Family Firm Challenges in Intergenerational Wealth Transfer21.102
The Opportunity Cost of Negative Screening in Socially Responsible Investing21.102
ESG Integration and the Investment Management Process: Fundamental Investing Reinvented21.102
Automatic High-Frequency Trading: An Application to Emerging Chilean Stock Market21.102
Climate Risk Assessment under Uncertainty: An Application to Main European Coastal Cities21.102
The effects of corporate governance on environmental sustainability reporting: empirical evidence from South Asian countries21.102
option trading21.102
Short selling and exchange-traded funds returns: evidence from the London Stock Exchange21.102
Building Up, Spending Down: Financial Literacy, Retirement Savings Management, and Decumulation21.102
Uncertainty and Dissent in Climate Risk Assessment: A Post-Normal Perspective21.102
Dynamic co-movements of stock market returns, implied volatility and policy uncertainty21.102
Towards Stock Market Data Mining Using Enriched Random Forests from Textual Resources and Technical Indicators21.102
wealth management21.102
Early Withdrawals and Required Minimum Distributions in Retirement Accounts: Issues for Congress21.102
Individual Retirement Accounts (IRAs): Tax Incentives for Retirement Savings21.102
The Impact of Corporate Governance Press News on Stock Market Returns21.102
Hottinger Group21.102
Corporate governance in Islamic financial institutions: the issues surrounding unrestricted investment account holders21.102
Public Mood–Driven Asset Allocation: the Importance of Financial Sentiment in Portfolio Management21.102
Apple Support21.102
Source Financial21.102
2018-26 - SEC Charges Ameriprise With Overcharging Retirement Account Customers for Mutual Fund Shares (NAID 144012257)21.102
2015-201 - SEC Proposes Liquidity Management Rules For Mutual Funds And Exchange-Traded Funds (ETFs) (NAID 144010979)21.102
2011-264 - SEC Charges Options Trader for Illegal Short Selling Tactics (NAID 144008843)21.102
2012-8 - SEC Charges UBS Global Asset Management for Pricing Violations in Mutual Fund Portfolios (NAID 144008889)21.102
2008-157 - SEC Charges Mutual Fund Manager for Violating Socially Responsible Investing Restrictions (NAID 144006943)21.102
2007-40 - SEC and U.S. Attorney Charge Three Offshore Hackers with Hijacking Online Brokerage Accounts, Manipulating Market (NAID 144006169)21.102
2007-2 - Statements of SEC Chairman Christopher Cox and Division of Investment Management Director Andrew Donohue Regarding the Investment Company Institute's Mutual Fund Interactive Data Taxonomy (NAID 144006093)21.102
2005-158 - SEC Urges Investors to Protect Their Online Brokerage Accounts from Identity Thieves (NAID 144005593)21.102
2004-127 - Pacific Investment Management Company, LLC (PIMCO) Equity Mutual Funds' Adviser, Sub-Adviser, and Distributor to Pay $50 Million to Settle Fraud Charges for Undisclosed Market Timing (NAID 144005177)21.102
2004-61 - SEC Files Civil Fraud Charges Against the Description Pacific Investment Management Company, LLC (PIMCO) Equity Funds' Mutual Fund Advisers, Distributor, CEO and Chairman of the Board of Trustees, and a Portfolio Manager (NAID 144005047)21.102
2004-16 - SEC Adopts Enhanced Mutual Fund Expense and Portfolio Disclosure; Proposes Improved Disclosure of Board Approval of Investment Advisory Contracts and Prohibition on the Use of Brokerage Commissions to Finance Distribution (NAID 144004957)21.102
2003-135 - SEC and U.S. Attorney Charge Computer Hacker With Fraud in Online Securities Scam; Teen Hacks Into Westborough Man's Online Brokerage Account, Places Unauthorized Buy Orders for Own Securities (NAID 144004827)21.102
2002-139 - Commission Proposes Disclosure of Proxy Voting by Mutual Funds, Investment Advisers (NAID 144004473)21.102
ČSOB Private Banking Moderato, ČSOB Asset Management, a. s., investiční společnost, otevřený podílový fond21.102
ČSOB Private Banking Presto, ČSOB Asset Management, a. s., investiční společnost, otevřený podílový fond21.102
ČSOB Private Banking Wealth Office II., ČSOB Asset Management, a.s., investiční společnost, otevřený podílový fond21.102
ČSOB Private Banking Largo, ČSOB Asset Management, a. s., investiční společnost, otevřený podílový fond21.102
ČSOB Private Banking Wealth Office I., ČSOB Asset Management, a.s., investiční společnost, otevřený podílový fond21.102
ČSOB Private Banking Moderato EUR, ČSOB Asset Management, a. s., investiční společnost, otevřený podílový fond21.102
Financial planning/investment perspectives. Mutual funds are back!21.102
Income tax, investment and estate planning opportunities created by Economic Recovery Tax Act of 1981 (ERTA). Part II - Investment and retirement planning21.102
Estate planning and asset protection: the new frontier21.102
Evaluating health risk tolerance and risk assessment21.102
New accounting rules: asset allocation and portfolio management21.102
In it for the long haul? Stock market losses test hospitals' risk tolerance21.102
The Family Wealth Preservation Trust Act: a new asset protection tool21.102
How to choose a financial advisor for effective asset & investment management21.102
Mutual fund investing: what you need to consider when choosing your mutual funds21.102
Private wealth management requires personal attention21.102
Fixed income investing (Part 1)21.102
Fixed income investing (part 4)21.102
Users evaluate a detailed familial risk questionnaire as valuable and no more time consuming than a simple enquiry in a web-based diabetes risk assessment tool21.102
Asset Protection and Estate Planning: Considerations for Establishing a Trust21.102
Let's put an expiration date on the current approach to drug expiration dates21.102
r/WallStreetBets21.102
Orthopaedic Surgery Resident Financial Literacy: An Assessment of Knowledge in Debt, Investment, and Retirement Savings21.102
Investing 101: How to Achieve Financial Security21.102
Sphere-sphere intersection for investment portfolio diversification - A new data-driven cluster analysis21.102
covered put21.102
protective call21.102
long combo21.102
short combo21.102
bull put spread21.102
bear call spread21.102
bear put spread21.102
long synthetic forward21.102
short synthetic forward21.102
bull call ladder21.102
bull put ladder21.102
bear put ladder21.102
bear call ladder21.102
calendar call spread21.102
calendar put spread21.102
diagonal call spread21.102
long straddle21.102
diagonal put spread21.102
long strangle21.102
long guts21.102
short straddle21.102
short strangle21.102
short guts21.102
long put synthetic straddle21.102
long call synthetic straddle21.102
short call synthetic straddle21.102
short put synthetic straddle21.102
covered short straddle21.102
strap21.102
covered short strangle21.102
strip21.102
call ratio backspread21.102
put ratio backspread21.102
ratio call spread21.102
long call butterfly21.102
ratio put spread21.102
long put butterfly21.102
modified put butterfly21.102
modified call butterfly21.102
short call butterfly21.102
short put butterfly21.102
long call condor21.102
long put condor21.102
short call condor21.102
short put condor21.102
long box21.102
bearish long seagull spread21.102
bullish short seagull spread21.102
bearish short seagull spread21.102
bullish long seagull spread21.102
implied volatility21.102
payoff at maturity21.102
stock options trading strategy maturity21.102
net credit received21.102
net debit required21.102
maximum profit at maturity21.102
maximum loss at maturity21.102
National Financial Services, Llc21.102
Invesco Canada Ptf Trades21.102
FINANCIAL PLANNING IN MEXICO: A TEST OF THE INTERDISCIPLINARY RETIREMENT PLANNING MODEL21.102
Systematic benefit-risk assessment for the use of chloroquine or hydroxychloroquine as a treatment for COVID-19: Establishing a framework for rapid decision-making21.102
Axis Mutual Fund21.102
payoff at maturity of covered put21.102
break-even share price of covered put21.102
maximum profit at maturity of covered put21.102
maximum loss at maturity of covered put21.102
payoff at maturity of protective call21.102
break-even share price of protective call21.102
maximum profit at maturity of protective call21.102
maximum loss at maturity of protective call21.102
Risk Assessment on Continued Public Health Threats: Evidence from China's Stock Market21.102
Goethe-Universität Frankfurt am Main Lehrstuhl für Investment Portfolio Management und Alterssicherung21.102
Understanding Machine Learning for Diversified Portfolio Construction by Explainable AI21.102
Sustainable investing exchange-traded funds: US and European market21.102
SEB Investment Management21.102
Wealth Management 101: For Wealth Managers21.102
Optimizing the Retirement Portfolio: Asset Allocation, Annuitization, and Risk Aversion21.102
Precautionary Savings, Retirement Planning and Misperceptions of Financial Literacy21.102
Financial Literacy and Retirement Planning in Canada21.102
Financial Literacy, Retirement Planning, and Household Wealth21.102
What the Stock Market Decline Means for the Financial Security and Retirement Choices of the Near-Retirement Population21.102
Financial Literacy and Stock Market Participation21.102
Index Funds and the Future of Corporate Governance: Theory, Evidence, and Policy21.102
Liquidity Transformation in Asset Management: Evidence from the Cash Holdings of Mutual Funds21.102
Tax-Efficient Asset Management: Evidence from Equity Mutual Funds21.102
Financial Literacy and Retirement Planning in Germany21.102
Financial Literacy and Retirement Planning in the United States21.102
Institutional Investors and Proxy Voting on Compensation Plans: The Impact of the 2003 Mutual Fund Voting Disclosure Regulation21.102
How Ordinary Consumers Make Complex Economic Decisions: Financial Literacy and Retirement Readiness21.102
Product Differentiation, Search Costs, and Competition in the Mutual Fund Industry: A Case Study of the S&P 500 Index Funds21.102
Asset Allocation and Asset Location: Household Evidence from the Survey of Consumer Finances21.102
Index Funds and Stock Market Growth21.102
Stock Market Yields and the Pricing of Municipal Bonds21.102
A Stock Index Mutual Fund Without Net Capital Gains Realizations21.102
Taxation and the Stock Market Valuation of Capital Gains and Dividends: Theory and Empirical Results (Rev)21.102
HDFC Asset Management Co21.102
Asset Management One21.102
Platinum Asset Management21.102
Reza Zafari21.102
Trading Academy21.102
Send - Sistema Electronico De Negociacion De Deuda21.102
NYSE Arca Options21.102
Bolsa de Bilbao - Renta fija21.102
Bolsa de Barcelona - Renta fija21.102
Singapore Exchange Bond Trading Pte. Ltd21.102
MTS Bonds.Com21.102
MarketAxess Corporation Single-Name CDS Central Limit Order21.102
Economic growth in Africa: The role of corporate governance and stock market developments21.102
Pierre de Weck21.102
Performance Analysis of Sustainable Investments in the Brazilian Stock Market: A Study About the Corporate Sustainability Index (ISE)21.102
Elizabeth Dennis21.102
SVB Private21.102
Rod von Lipsey21.102
Nicole Pullen Ross21.102
CA IB Corporate Finance21.102
CEO option incentives, firm risk-taking and shareholder value: evidence from Australia21.102
The science and politics of climate risk assessment in Australia’s Murray Darling Basin21.102
View to the future : mid-life women and retirement income planning21.102
Does mutual fund investment style consistency affect the performance of mutual funds? : evidence from Chinese mutual funds21.102
Underestimating Lifespans? Why Longevity Risk Exists in Retirement Planning and Superannuation Policy21.102
Essays on short selling and margin trading in China21.102
Ownership concentration, state ownership and firm performance: empirical evidence from the Vietnamese stock market21.102
The Relationship Between Corporate Governance Quality and Sustainability Reporting: An Analysis of Top Performing Companies and Financially Distressed Companies21.102
The Effect of Information Disclosure on Corporate Governance and Mutual Funds21.102
Essays on the Vietnam Stock Market21.102
Four essays on capital structure dynamics: special reference to level of leverage, state ownership, corporate governance and climate risk21.102
Effect of Demographics, Personality Traits, and Financial Literacy on Risk Tolerance and Behavioral Biases in Individual Investors of Pakistan Stock Exchange21.102
Sustainable investing and climate transition risk: a portfolio rebalancing approach21.102
Financial Literacy and Retirement Planning in Sakon Nakhon Province, Nakhon Phanom Province and Mukdahan Province21.102
The Influence of Financial Literacy, Experienced Regret, Framing Effect and Mental Accounting on Millennial Generation Investment Decisions in DKI Jakarta with Risk Tolerance as Intervening Variables21.102
Relationship Between Financial Literacy of Individual Investors and Stock Market Participation Decision Among Secondary School Teachers from Nakuru County, Kenya21.102
Do Fossil Fuel Divestment Commitments and Green Finance Policies Impact Fossil Fuel Investment Brokerage within and between Financial Centres?21.102
Financial Literacy and Attitudinal study of the Newly Employed Youth towards Financial Planning21.102
Slowing Fossil Fuel Extraction: A Role for Taxation of Exports, Capital Gains and Interest Income21.102
Predicting Stock Market Volatility from Candlestick Charts: A Multiple Attention Mechanism Graph Neural Network Approach21.102
The use of the sustainable investment against the broad market one. A first test in the Mexican stock market21.102
Advancing index-based climate risk assessment to facilitate adaptation planning: Application in Shanghai and Shenzhen, China21.102
Corporate climate risk and stock market reaction to performance briefings in China21.102
A methodological framework for extreme climate risk assessment integrating satellite and location based data sets in intelligent systems21.102
Retirement Planning Through Financial Literacy/Knowledge: A Bibliometric Analysis Perspective21.102
Technical Analysis to Determine Signal Lines in Sharia Stock Trading: Case in Indonesia Sharia Stock Market21.102
A simple method for amateur investors to analyze covered call options21.102
Digital finance, stock market participation and asset allocation of Chinese households21.102
The Role of Risk Forecast and Risk Tolerance in Portfolio Management: A Case Study of the Chinese Financial Sector21.102
Global economic impacts of climate shocks, climate policy and changes in climate risk assessment21.102
Fort Washington Investment Advisors, Inc.21.102
The impact of ethical ratings on Canadian security performance: Portfolio management and corporate governance implications21.102
A Feasibility Analysis of Black-Scholes-Merton Differential Equation Model for Stock Option Pricing by Using Historical Volatility : With Reference to Selected Stock Options Traded in NSE21.102
Financial Literacy Improvement Through Family Financial Planning Management Training21.102
Nomkhita Nqweni21.102
Hans-Ulrich Meister21.102
How Financial Literacy Impacts Retirement Savings: The Role of Present Bias and Exponential Growth Bias21.102
Kathryn Koch21.102
NISA Investment Advisors21.102
Creand Wealth Management Spain21.102
High-Flyer21.102
Low Carbon Investment Management Ltd.21.102
Jude Driscoll21.102
Raymond Sagayam21.102
Extreme Positive Payoffs and Mutual Fund Flows:Empirical Analysis Based on Chinese Mutual Funds21.102
Financial Literacy and Mutual Fund Investment Performance of Chinese Individual Investors: The Perspective of Financial Advice21.102
Does the Managers’ Confidence Affect Corporate Investment Efficiency? ——On the Corporate Governance Effect of Margin Trading21.102
Short Selling and Corporate Innovation: Evidence from Margin Trading in China21.102
Leverage Trading Behavior and Stock Return——Evidence from Margin Trading and Short Selling21.102
Margin Trading, Short Selling and Strategic Corporate Disclosure: Evidence from Specificity of Management Forecasts21.102
Margin Trading, Short Selling, and Goodwill Impairment:Based on the Perspective of Two-Way Transaction Mechanisms21.102
Short Selling Mechanism and Auditor Choice——Evidence from the margin trading21.102
Short Selling Deterrent, Corporate Governance and Hidden Corruption of Executives21.102
Margin Trading, Short Selling and Firm Financialization: Based on a Quasi-natural Experiment of Batch Expansion21.102
Short Selling Restriction and Return Predictability: Evidence from China’s A-Share Margin Trading and Short Selling21.102
Does Short Selling Restrain Insider Selling? Evidence from Margin Trading Mechanism21.102
Financial Literacy and the Household Savings Rate: The Role of Financial Planning and Borrowing Constraints21.102
Does Market Manipulation Reduce the Information Efficiency of China’s Stock Market?Empirical Evidence from the Shanghai A-share Market’s High-Frequency Trading Data21.102
Do Mutual Funds Exploit Stock Market Anomalies in China?21.102
Can Margin Trading and Short Selling Promote Green Innovation of Enterprises?21.102
Margin Account Leverage, Investor Behavior and Stock Market Stability21.102
Applying the logistic model to the risky asset allocation:An empirical study on the questionnaires of the mutual fund investors21.102
Government Open Data Privacy Risk Assessment and Prevention Control: The Brazil Experience21.102
Government Open Data Privacy Risk Assessment and Prevention Control——The Slovenia Experience21.102
A Literature Review of Private Wealth Management and Prospects21.102
Design and Implementation of Personalized Service Platform for the Basic Educational Resources Based on Cloud Computing21.102
Empirical Study on the Relationship between Corporate Governance and Investment Decision of Mutual Funds——Evidence from Chinese Listed Firms21.102
Short Selling and Over-investment——A Natural Experiment from Chinese Margin Trading Program21.102
Financial Literacy, Financial Inclusiveness and Pension Financial Asset Allocation21.102
Government Open Data Privacy Risk Assessment and Prevention Control: The Dutch Experience21.102
Government Open Data Privacy Risk Assessment and Prevention Control: The Spain Experience21.102
Government Open Data Privacy Risk Assessment and Prevention Control:the Dutch Experience21.102
Government Open Data Privacy Risk Assessment and Prevention Control:The New Zealand Experience21.102
Does margin trading stabilize the volatility of China’s stock market?21.102
Investor’s Strategic Asset Allocation Under the Time-Vary Investment Opportunity: Evidence from China Stock Market21.102
Mutual Funds’ Trading Behavior and Stock Market Volatility21.102
Corporate Governance Environment,Asset Allocation Preference and Expropriation21.102
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