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A Style-Based Market Risk Model for Hedge Fund Portfolios JOURNAL ARTICLE published 31 July 2010 in The Journal of Portfolio Management |
Mortgage Flows and Commercial Property Price Cycles JOURNAL ARTICLE published 30 September 2011 in The Journal of Portfolio Management |
INVITED EDITORIAL COMMENT JOURNAL ARTICLE published 31 January 2013 in The Journal of Portfolio Management |
Assessing the Impact of Real Estate on Target Date Fund Performance JOURNAL ARTICLE published 30 September 2013 in The Journal of Portfolio Management |
The Long-Term Performance of EquityInvestment Strategies and the Correlation Trap JOURNAL ARTICLE published 31 July 2014 in The Journal of Portfolio Management |
The Big ETF Charade JOURNAL ARTICLE published 31 January 2015 in The Journal of Portfolio Management |
EDITORIAL COMMENTS JOURNAL ARTICLE published 31 May 2016 in The Journal of Portfolio Management |
Quis Pendit Ipsa Pretia: Facebook Valuation and Diagnostic of a Bubble Based on Nonlinear Demographic Dynamics JOURNAL ARTICLE published 31 January 2012 in The Journal of Portfolio Management |
The Intriguing Case of KMP and KMR JOURNAL ARTICLE published 30 April 2011 in The Journal of Portfolio Management |
Tactical Allocation by Credit Quality JOURNAL ARTICLE published 31 October 2011 in The Journal of Portfolio Management |
A Hybrid Approach to Combining CART and Logistic Regression for Stock Ranking JOURNAL ARTICLE published 31 October 2011 in The Journal of Portfolio Management |
Principal–Agent Issues in Real Estate Funds and Joint Ventures JOURNAL ARTICLE published 30 September 2015 in The Journal of Portfolio Management |
European CMBS Pricing:Bond, Mortgage, and Real Estate Characteristics JOURNAL ARTICLE published 30 September 2011 in The Journal of Portfolio Management |
Reflections on Buy-Side Risk Management After (or Between) the Storms JOURNAL ARTICLE published 31 July 2010 in The Journal of Portfolio Management |
Securitization and the Supply Cycle:Evidence fromthe REIT Market JOURNAL ARTICLE published 30 September 2013 in The Journal of Portfolio Management |
A Closer Look at Co-Movements in Global Office Rents JOURNAL ARTICLE published 30 September 2013 in The Journal of Portfolio Management |
Flexible Indeterminate Factor-Based Asset Allocation JOURNAL ARTICLE published 31 July 2016 in The Journal of Portfolio Management |
INVITED EDITORIAL JOURNAL ARTICLE published 30 April 2015 in The Journal of Portfolio Management |
International Diversification: The Weighting is the Hardest Part JOURNAL ARTICLE published 31 October 2015 in The Journal of Portfolio Management |
Labor Conditions and Future Capital Market Performance JOURNAL ARTICLE published 31 October 2016 in The Journal of Portfolio Management |