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The Journal of Investing
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The Journal of Investing

The Journal of Investing

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Table of Contents

Summer 2013; Volume 22,Issue 2
  • Open Access
    Editor’s Letter
    Brian R. Bruce
    The Journal of Investing Summer 2013, 22 (2) 1; DOI: https://doi.org/10.3905/joi.2013.22.2.001
  • You have access
    Investor Overreaction to Technical Insolvency
    and Bankruptcy Risks in the 2008
    Stock Market Crash
    Jia Wang, Gulser Meric, Zugang Liu and Ilhan Meric
    The Journal of Investing Summer 2013, 22 (2) 8-14; DOI: https://doi.org/10.3905/joi.2013.22.2.008
  • You have access
    Dividend-Price Ratios and Stock Returns:
    Another Look at the History
    Bradford Cornell
    The Journal of Investing Summer 2013, 22 (2) 15-22; DOI: https://doi.org/10.3905/joi.2013.22.2.015
  • You have access
    How Well Do Long-Term Bond Interest
    Rates Predict Stock Market Returns?
    Klaus Volpert
    The Journal of Investing Summer 2013, 22 (2) 23-28; DOI: https://doi.org/10.3905/joi.2013.22.2.023
  • You have access
    Do Corporate Cash Holdings Predict
    Stock Returns?
    Ramesh K.S. Rao, Hongfei Tang and Satyajit Chandrashekar
    The Journal of Investing Summer 2013, 22 (2) 29-39; DOI: https://doi.org/10.3905/joi.2013.22.2.029
  • You have access
    A Simple Test of Market Efficiency
    Using Management Forecasts in Japan
    Peter Xu
    The Journal of Investing Summer 2013, 22 (2) 40-46; DOI: https://doi.org/10.3905/joi.2013.22.2.040
  • You have access
    In Search of Premium Returns from Public
    Equities Markets in Emerging Economies:
    The Case of Poland
    Darek Klonowski
    The Journal of Investing Summer 2013, 22 (2) 47-54; DOI: https://doi.org/10.3905/joi.2013.22.2.047
  • You have access
    Performance and Persistence of Performance
    of Actively Managed U.S. Funds
    that Invest in International Equity
    Abhay Kaushik
    The Journal of Investing Summer 2013, 22 (2) 55-63; DOI: https://doi.org/10.3905/joi.2013.22.2.055
  • You have access
    Returns from Trading Call Options
    Ryan McKeon
    The Journal of Investing Summer 2013, 22 (2) 64-77; DOI: https://doi.org/10.3905/joi.2013.22.2.064
  • You have access
    A Perspective on Risk
    Leo Melamed, John W. Labuszewski and Sandra Ro
    The Journal of Investing Summer 2013, 22 (2) 79-94; DOI: https://doi.org/10.3905/joi.2013.22.2.079
  • You have access
    Ibbotson’s Default Premium: Risky Data
    Winfried G. Hallerbach and Patrick Houweling
    The Journal of Investing Summer 2013, 22 (2) 95-105; DOI: https://doi.org/10.3905/joi.2013.22.2.095
  • You have access
    Geometric Mean Maximization: Expected, Observed,
    and Simulated Performance
    Rafael De Santiago and Javier Estrada
    The Journal of Investing Summer 2013, 22 (2) 109-119; DOI: https://doi.org/10.3905/joi.2013.22.2.106
  • You have access
    Idiosyncratic Risk and Performance
    of Hedge Funds
    Aiwu Zhao and Megan Paget-Brown
    The Journal of Investing Summer 2013, 22 (2) 120-127; DOI: https://doi.org/10.3905/joi.2013.22.2.120
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The Journal of Investing: 22 (2)
The Journal of Investing
Vol. 22, Issue 2
Summer 2013
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