Optimal Goals-Based Investment Strategies for Switching between Bull and Bear Markets
Sanjiv R. Das, Daniel Ostrov, Aviva Casanova, Anand Radhakrishnan and Deep Srivastav
The Journal of Wealth Management Spring 2022, 24 (4) 8-36; DOI: https://doi.org/10.3905/jwm.2021.1.161
Sanjiv R. Das
is professor of finance and data science at Santa Clara University in Santa Clara, CA
Daniel Ostrov
is professor of mathematics at Santa Clara University in Santa Clara, CA
Aviva Casanova
is lead business enablement partner, Client Analytics at Franklin Templeton in San Mateo, CA
Anand Radhakrishnan
is director, strategy and analytics at Franklin Templeton in San Mateo, CA
Deep Srivastav
is SVP, head of digital solutions at Franklin Templeton in San Mateo, CA
Explore our content to discover more relevant research
In this issue
The Journal of Wealth Management
Vol. 24, Issue 4
Spring 2022
Optimal Goals-Based Investment Strategies for Switching between Bull and Bear Markets
Sanjiv R. Das, Daniel Ostrov, Aviva Casanova, Anand Radhakrishnan, Deep Srivastav
The Journal of Wealth Management Jan 2022, 24 (4) 8-36; DOI: 10.3905/jwm.2021.1.161