Works matching IS 00954918 AND DT 2005 AND VI 32 AND IP 1


Results: 12
    1

    Corporate Bond Portfolio Analysis.

    Published in:
    Journal of Portfolio Management, 2005, v. 32, n. 1, p. 98, doi. 10.3905/jpm.2005.599514
    By:
    • Jacob, David P.;
    • Adelson, Mark;
    • Whetten, Michiko
    Publication type:
    Article
    2

    Copulas and Coherence.

    Published in:
    Journal of Portfolio Management, 2005, v. 32, n. 1, p. 123, doi. 10.3905/jpm.2005.599516
    By:
    • Dowd, Kevin
    Publication type:
    Article
    3
    4

    Never Again.

    Published in:
    Journal of Portfolio Management, 2005, v. 32, n. 1, p. 92, doi. 10.3905/jpm.2005.599508
    By:
    • Gold, Jeremy
    Publication type:
    Article
    5
    6
    7
    8

    Fair Trading.

    Published in:
    Journal of Portfolio Management, 2005, v. 32, n. 1, p. 76, doi. 10.3905/jpm.2005.599504
    By:
    • Statman, Meir
    Publication type:
    Article
    9

    Factor Neutrality.

    Published in:
    Journal of Portfolio Management, 2005, v. 32, n. 1, p. 38, doi. 10.3905/jpm.2005.599495
    By:
    • Lam, Daniel Y.;
    • Lee, Wai
    Publication type:
    Article
    10

    A Factor Approach to Asset Allocation.

    Published in:
    Journal of Portfolio Management, 2005, v. 32, n. 1, p. 10, doi. 10.3905/jpm.2005.599487
    By:
    • Clarke, Roger G.;
    • de Silva, Harindra;
    • Murdock, Robert
    Publication type:
    Article
    11
    12