- 2021 - 2024 階層的ボラティリティ・共歪度・共分散の資産価格への影響の分析
- 2018 - 2021 Asset Pricing and Portfolio Management Using Higher-Order Moment (Volatility and Skewness)
- 2013 - 2016 Analysis of Structural Changes in Financial Markets and the Macroeconomy and Asset Allocation
- 2010 - 2012 Interdependencies in Financial and Physical Asset Markets and their Effects on Investments and Risk Management.
- 2007 - 2009 Analysis of Portfolio Management - Risk Characteristics of New Investment Opportunities and Strategies
- 2004 - 2007 企業の事業戦略・資金調達の分析と企業価値・信用リスクの統一的評価手法の研究
- 2005 - 2006 On optimal security design and financial contract
- 2001 - 2003 リアルオプション・アプローチによる企業、事業評価に関する理論的・実証的研究
- 2001 - 2002 Managing new type of risks - Electricity, weather, and insurance risks and their derivatives-
- 1999 - 2001 Empirical and theoretical studies of pension fund management
- 1996 - 1998 Theoretical and Empirical Studies on the Effect of Derivatives Trading on Economy
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