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G11 - Portfolio Choice; Investment Decisions

Citations 1-10 of 100 total displayed.

Most recent content (1 Sep 2008):

Articles
Taxable and Tax-Deferred Investing: A Tax-Arbitrage Approach
Jennifer Huang
Rev. Financ. Stud. 2008; 21: 2173-2207. [Abstract] [Full text] [PDF] [ Supplementary Data ]  

Articles
Market Discipline and Internal Governance in the Mutual Fund Industry
Thomas Dangl, Youchang Wu, and Josef Zechner
Rev. Financ. Stud. 2008; 21: 2307-2343. [Abstract] [Full text] [PDF]  

Past content (since Apr 1991):

Articles
Predicting Excess Stock Returns Out of Sample: Can Anything Beat the Historical Average?
John Y. Campbell and Samuel B. Thompson
Rev. Financ. Stud. 2008; 21: 1509-1531. [Abstract] [Full text] [PDF]  

Articles
All That Glitters: The Effect of Attention and News on the Buying Behavior of Individual and Institutional Investors
Brad M. Barber and Terrance Odean
Rev. Financ. Stud. 2008; 21: 785-818. [Abstract] [Full text] [PDF]  

Articles
International asset allocation under regime switching, skew, and kurtosis preferences
Massimo Guidolin and Allan Timmermann
Rev. Financ. Stud. 2008; 21: 889-935. [Abstract] [Full text] [PDF]  

Articles
Institutional Portfolio Flows and International Investments
Kenneth A. Froot and Tarun Ramadorai
Rev. Financ. Stud. 2008; 21: 937-971. [Abstract] [Full text] [PDF]  

Articles
Relative Wealth Concerns and Financial Bubbles
Peter M. DeMarzo, Ron Kaniel, and Ilan Kremer
Rev. Financ. Stud. 2008; 21: 19-50. [Abstract] [Full text] [PDF]  

Articles
Asset Pricing with Limited Risk Sharing and Heterogeneous Agents
Francisco Gomes and Alexander Michaelides
Rev. Financ. Stud. 2008; 21: 415-448. [Abstract] [Full text] [PDF]  

Articles
Turning over Turnover
K. J. Martijn Cremers and Jianping Mei
Rev. Financ. Stud. 2007; 20: 1749-1782. [Abstract] [Full text] [PDF]  

Articles
Liquidity and Expected Returns: Lessons from Emerging Markets
Geert Bekaert, Campbell R. Harvey, and Christian Lundblad
Rev. Financ. Stud. 2007; 20: 1783-1831. [Abstract] [Full text] [PDF]  

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* Related collections:
 G1 - General Financial Markets
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 G11 - Portfolio Choice; Investment Decisions
 G12 - Asset Pricing; Trading volume; Bond Interest Rates
 G13 - Contingent Pricing; Futures Pricing
 G14 - Information and Market Efficiency; Event Studies
 G15 - International Financial Markets
 G18 - Government Policy and Regulation
 G19 - Other