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Currency Exchange Rate Forecast and Interest Rate Differential JOURNAL ARTICLE published 31 January 1993 in The Journal of Portfolio Management |
A Second Look at the Negative Earnings Effect JOURNAL ARTICLE published 31 July 1994 in The Journal of Portfolio Management |
Investment rules and the Ergodic Hypothesis JOURNAL ARTICLE published 31 October 1986 in The Journal of Portfolio Management |
Editor's Letter JOURNAL ARTICLE published 30 April 1999 in The Journal of Portfolio Management |
The Design and Production of New Retirement Savings Products JOURNAL ARTICLE published 31 January 1999 in The Journal of Portfolio Management |
Carrying costs and treasury bill futures JOURNAL ARTICLE published 31 October 1985 in The Journal of Portfolio Management |
The President's Economic Report JOURNAL ARTICLE published 31 July 1990 in The Journal of Portfolio Management |
Eight relative strength models compared JOURNAL ARTICLE published 31 October 1986 in The Journal of Portfolio Management |
Is the stock market predictable? JOURNAL ARTICLE published 31 July 1990 in The Journal of Portfolio Management |
Predicting Sign Changes in the Equity Risk Premium Using Commercial Paper Rates JOURNAL ARTICLE published 31 October 1993 in The Journal of Portfolio Management |
Industry and Country Effects in International Stock Returns JOURNAL ARTICLE published 30 April 1995 in The Journal of Portfolio Management |
The Information Content of Value Line Convertible Bond Rankings JOURNAL ARTICLE published 31 October 1997 in The Journal of Portfolio Management |
Performance Games JOURNAL ARTICLE published 31 January 1997 in The Journal of Portfolio Management |
The Role of Value in Strategies Based on Anticipated Earnings Surprise JOURNAL ARTICLE published 31 January 2000 in The Journal of Portfolio Management |
An Approach to Scenario Hedging JOURNAL ARTICLE published 31 January 1998 in The Journal of Portfolio Management |
Estimating Credit Spread Risk Using Extreme Value Theory JOURNAL ARTICLE published 30 April 1999 in The Journal of Portfolio Management |
Are Multiple Hedging Instruments Better than One? JOURNAL ARTICLE published 31 January 2000 in The Journal of Portfolio Management |
Faith, reason, and prudence JOURNAL ARTICLE published 31 January 1987 in The Journal of Portfolio Management |
Style Investing JOURNAL ARTICLE published 30 April 2001 in The Journal of Portfolio Management |
Diversification Benefits for Investors in Real Estate JOURNAL ARTICLE published 30 April 1995 in The Journal of Portfolio Management |