Index of /pub/Finanzas/Journals/Journal of Portfolio Management/2009/Vol. 35 Issue 4 - Summer2009/
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A perspective on liquidity risk and horizon uncertainty..pdf
06-Feb-2026 16:34
3.0MB
A practitioner's guide to establishing a prudent transition process..pdf
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2.3MB
An asset-liability version of the capital asset pricing model with a multi-period two-fund theorem..pdf
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6.2MB
Clairvoyant Value II the growth-value cycle..pdf
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4.5MB
Code of best practice for transition managers the T-Charter..pdf
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1.4MB
Cross trades in the transition management marketplace..pdf
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534.2KB
Equity turbulence, fixed income illiquidity, and portfolio reallocation the case for synthetic rebalancing..pdf
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2.7MB
Exercising the options on our 25th birthday..pdf
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507.6KB
Explaining earnings per share growth..pdf
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1.0MB
Exploring the myths of transition management..pdf
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1.3MB
Inflation-hedging properties of real assets and implications for asset-liability management decisions..pdf
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4.5MB
Optimal turnover constraints scarcity is everywhere..pdf
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1.7MB
Paul A. Samuelson.pdf
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4.8MB
Portfolio risk consequences of fixed-income exposures..pdf
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2.1MB
Return-risk ratios under taxation..pdf
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2.3MB
Risk-profiling defined benefit pension schemes..pdf
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4.5MB
Share repurchases and stock valuation models..pdf
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2.7MB
Some thoughts on transition management..pdf
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646.5KB
Taming global village risk II understanding and mitigating bubbles..pdf
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3.7MB
Transition management in times of market volatility..pdf
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1.3MB
Transition trading and the T Standard..pdf
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1.2MB
Understanding and evaluating interim investment management solutions..pdf
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2.4MB
Understanding two remarkable findings about stock yields and growth..pdf
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2.4MB
Upon saying farewell..pdf
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542.6KB
What this issue is all about..pdf
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215.5KB
What this journal is about..pdf
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621.4KB
Where have thirty years gone A trap for logicians.pdf
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1.4MB
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