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G11 - Portfolio Choice; Investment Decisions

Citations 1-10 of 23 total displayed.

Most recent content (1 Jan 2008):

Articles
Equity Portfolio Diversification
William N. Goetzmann and Alok Kumar
Review of Finance 2008; 12: 433-463. [Abstract] [Full text] [PDF]  

Articles
Are Economists More Likely to Hold Stocks?
Charlotte Christiansen, Juanna Schröter Joensen, and Jesper Rangvid
Review of Finance 2008; 12: 465-496. [Abstract] [Full text] [PDF]  

Articles
Priming the Risk Attitudes of Professionals in Financial Decision Making
Dalia Gilad and Doron Kliger
Review of Finance 2008; 12: 567-586. [Abstract] [Full text] [PDF]  

Past content (since Jan 1999):

Articles
On the Evolution of Investment Strategies and the Kelly Rule—A Darwinian Approach
Terje Lensberg and Klaus Reiner Schenk-Hoppé
Review of Finance 2007; 11: 25-50. [Abstract] [Full text] [PDF]  

Articles
Should smart investors buy funds with high past returns?
Frederic Palomino and Harald Uhlig
Review of Finance 2007; 11: 51-70. [Abstract] [Full text] [PDF]  

Articles
Market Responses to Buy Recommendations Issued by Personal Finance Magazines: Effects of Information, Price-Pressure, and Company Characteristics
Alexander G. Kerl and Andreas Walter
Review of Finance 2007; 11: 117-141. [Abstract] [Full text] [PDF]  

Articles
An Empirical Portfolio Perspective on Option Pricing Anomalies
Joost Driessen and Pascal Maenhout
Review of Finance 2007; 11: 561-603. [Abstract] [Full text] [PDF]  

Articles
Fund Liquidation, Self-selection, and Look-ahead Bias in the Hedge Fund Industry
Jenke Ter Horst and Marno Verbeek
Review of Finance 2007; 11: 605-632. [Abstract] [Full text] [PDF]  

Articles
Human Capital and Popular Investment Advice
Glenn W. Boyle and Graeme A. Guthrie
Review of Finance 2005; 9: 139-164. [Abstract] [PDF]  

Articles
Optimal Liquidity Trading
Gur Huberman and Werner Stanzl
Review of Finance 2005; 9: 165-200. [Abstract] [PDF]  

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* Related collections:
 G1 - General Financial Markets
 G10 - General
 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