Refereed publications by Philippe J.S. De Brouwer

A list of publications in journals that went through a peer review before being published.

2016Proposal for a Practical Implementation of Maslowian Portfolio Theory"Problemy Zarządzania" 2016, vol. 14, nr 4(63), t. 1, pp. 39 - 56draft
2016Risk Management for Project FinancePublished in "Projekty Finansowy", 2016, ed. M. Postula and R. Cieslik, pp. 231–298, Difin, Warsaw.English version before translation and editing
2016-02-03The Importance of Thinking Coherently for Strategic Asset AllocationJournal Journal of Advances in Management Sciences & Information Systems, Vol 2. 2016, DOI:'s copy
2011-03-19Target Oriented Investment AdviceJournal of Asset Management, 30 June 2011, DOI:'s copy
2010-05-19Maslowian Portfolio TheoryJournal of Asset Management, 9 (6), pp. 359–365. DOI:'s copy'
2006Behavioral Finance and Decision Making in Financial Marketsin "Financial Markets, Principles of Modeling Forecasting, and Decision-Making" (ISBN 978-83-7525-022-0), ed. Wladislaw Milo and Piotr Wdowinski, pp. 24–44,Łódź University Press.draft
2001Understanding and Calculating Value At RiskJournal of Derivatives Use, Trading and Regulation, 6 (4), pp. 306–322.draf
2001De Brouwer, P., and F. V.d. Spiegel: The Fallacy of Large Numbers Revisited: The construction of a utility function that leads to the acceptance of two games, while one is rejectedJournal of Asset Management, 1 (3), pp. 257–266. DOI:'s copy
1993De Brouwer, P., and D. Walgraef: Two Dimensional Patterns in a Model for the Electro-hydrodynamic Instability of Nematic Liquid CrystalsPublished in “Instabilities and Nonequilibrium Structures IV”, 1993, ed. by E. Tirapegui and W. Zeller, pp. 235–245, Kluwer Academic Publishers. DOI: copy