Financial Analysts Journal 2020年第3期

[发布日期]:2020-09-07  [浏览次数]:

目录
* Targeting Retirement Security with a Dynamic Asset Allocation Strategy
  拥有动态资产配置策略的目标退休保障计划 

* Risk Management and the Optimal Combination of Equity Market Factors
  风险管理与股票市场因素最优组合 

* A Framework for Constructing Equity-Risk-Mitigation Portfolios
  构建股票风险缓释投资组合的框架 

* An Empirical Evaluation of Tax-Loss-Harvesting Alpha
  税收流失收益α的实证评价 

* A New Framework for Analyzing Market Share Dynamics among Fund Families
基金家族市场份额动态分析新框架 

* Decentralized Efficiency? Arbitrage in Bitcoin Markets
  去中心化的效率?比特币市场的套利 

原文链接:https://www.tandfonline.com/toc/ufaj20/current

翻译者:王彦一
 



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