According to our database1, Raman Uppal authored at least 4 papers between 2000 and 2012.
Legend:Book In proceedings Article PhD thesis Other
Keynes Meets Markowitz: The Trade-Off Between Familiarity and Diversification.
Management Science, 2012
A Generalized Approach to Portfolio Optimization: Improving Performance by Constraining Portfolio Norms.
Management Science, 2009
Portfolio Investment with the Exact Tax Basis via Nonlinear Programming.
Management Science, 2005
Efficient Intertemporal Allocations with Recursive Utility.
J. Economic Theory, 2000