Skip to main content

Main menu

  • Home
  • Current Issue
  • Past Issues
  • Videos
  • Submit an article
  • More
    • About JOI
    • Editorial Board
    • Published Ahead of Print (PAP)
  • IPR Logo
  • About Us
  • Journals
  • Publish
  • Advertise
  • Videos
  • Webinars
  • More
    • Awards
    • Article Licensing
    • Academic Use
  • Follow IIJ on LinkedIn
  • Follow IIJ on Twitter

User menu

  • Sample our Content
  • Request a Demo
  • Log in

Search

  • ADVANCED SEARCH: Discover more content by journal, author or time frame
The Journal of Investing
  • IPR Logo
  • About Us
  • Journals
  • Publish
  • Advertise
  • Videos
  • Webinars
  • More
    • Awards
    • Article Licensing
    • Academic Use
  • Sample our Content
  • Request a Demo
  • Log in
The Journal of Investing

The Journal of Investing

ADVANCED SEARCH: Discover more content by journal, author or time frame

  • Home
  • Current Issue
  • Past Issues
  • Videos
  • Submit an article
  • More
    • About JOI
    • Editorial Board
    • Published Ahead of Print (PAP)
  • Follow IIJ on LinkedIn
  • Follow IIJ on Twitter

Table of Contents

Spring 2017; Volume 26,Issue 1
  • Open Access
    Editor’s Letter
    Brian R. Bruce
    The Journal of Investing Spring 2017, 26 (1) 1-2; DOI: https://doi.org/10.3905/joi.2017.26.1.001
  • You have access
    Confronting the Big Questions
    Laurence B. Siegel
    The Journal of Investing Spring 2017, 26 (1) 8; DOI: https://doi.org/10.3905/joi.2017.26.1.008
  • You have access
    Looking Both Ways: A Quarter Century in Emerging and Frontier Markets
    Lawrence S. Speidell
    The Journal of Investing Spring 2017, 26 (1) 9-21; DOI: https://doi.org/10.3905/joi.2017.26.1.009
  • You have access
    The Journal of Investing, Brian Bruce, and Me—A Random Walk Down Memory Lane
    George Frankfurter
    The Journal of Investing Spring 2017, 26 (1) 23-25; DOI: https://doi.org/10.3905/joi.2017.26.1.023
  • You have access
    Investment Philosophy and Manager Evaluation, Again
    John R. Minahan and Thusith I. Mahanama
    The Journal of Investing Spring 2017, 26 (1) 26-32; DOI: https://doi.org/10.3905/joi.2017.26.1.026
  • You have access
    Fintech Codgers Look Back 25 Years
    David Leinweber
    The Journal of Investing Spring 2017, 26 (1) 33-45; DOI: https://doi.org/10.3905/joi.2017.26.1.033
  • You have access
    Popularity and Asset Pricing
    Thomas M. Idzorek and Roger G. Ibbotson
    The Journal of Investing Spring 2017, 26 (1) 46-56; DOI: https://doi.org/10.3905/joi.2017.26.1.046
  • You have access
    The Only Saving Rate Article You Will Ever Need—Using Just a Handheld Financial Calculator!
    Laurence B. Siegel and M. Barton Waring
    The Journal of Investing Spring 2017, 26 (1) 57-69; DOI: https://doi.org/10.3905/joi.2017.26.1.057
  • You have access
    The Development of Mean–Variance-Efficient Portfolios in Japan and the United States: 25 Years After; or, What Has Driven Stock Selection Models in Japan and the United States?
    John B. Guerard
    The Journal of Investing Spring 2017, 26 (1) 70-93; DOI: https://doi.org/10.3905/joi.2017.26.1.070
  • You have access
    The Golden Constant
    Claude B. Erb and Campbell R. Harvey
    The Journal of Investing Spring 2017, 26 (1) 94-100; DOI: https://doi.org/10.3905/joi.2017.26.1.094
  • You have access
    Taxable Investors Deserve Better
    Donald J. Peters
    The Journal of Investing Spring 2017, 26 (1) 101-103; DOI: https://doi.org/10.3905/joi.2017.26.1.101
  • You have access
    U.S. Investment Funds: Public and Private Response to Cyber Risk
    Philip Halpern and Robert Edelman
    The Journal of Investing Spring 2017, 26 (1) 104-116; DOI: https://doi.org/10.3905/joi.2017.26.1.104
  • You have access
    How Attractive Are Emerging Markets Equities? The Importance of Price/Book-Value Ratios for Future Returns
    Michael Keppler and Peter Encinosa
    The Journal of Investing Spring 2017, 26 (1) 117-121; DOI: https://doi.org/10.3905/joi.2017.26.1.117
  • You have access
    From Markowitz 1.0 to Markowitz 2.0 with a Detour to Postmodern Portfolio Theory and Back
    Paul D. Kaplan
    The Journal of Investing Spring 2017, 26 (1) 122-130; DOI: https://doi.org/10.3905/joi.2017.26.1.122
  • You have access
    Reflections on 25 Years of Behavioral Finance
    Brian R. Bruce
    The Journal of Investing Spring 2017, 26 (1) 131-135; DOI: https://doi.org/10.3905/joi.2017.26.1.131
Back to top
PreviousNext

Explore our content to discover more relevant research

  • By topic
  • Across journals
  • From the experts
  • Monthly highlights
  • Special collections

In this issue

The Journal of Investing: 26 (1)
The Journal of Investing
Vol. 26, Issue 1
Spring 2017
  • Table of Contents
  • Index by author
Sign up for alerts
LONDON
One London Wall, London, EC2Y 5EA
United Kingdom
+44 207 139 1600
 
NEW YORK
41 Madison Avenue, New York, NY 10010
USA
+1 646 931 9045
pm-research@pageantmedia.com
 

Stay Connected

  • Follow IIJ on LinkedIn
  • Follow IIJ on Twitter

MORE FROM PMR

  • Home
  • Awards
  • Investment Guides
  • Videos
  • About PMR

INFORMATION FOR

  • Academics
  • Agents
  • Authors
  • Content Usage Terms

GET INVOLVED

  • Advertise
  • Publish
  • Article Licensing
  • Contact Us
  • Subscribe Now
  • Log In
  • Update your profile
  • Give us your feedback

© 2022 Pageant Media Ltd | All Rights Reserved | ISSN: 1068-0896 | E-ISSN: 2168-8613

  • Site Map
  • Terms & Conditions
  • Cookies
  • Privacy Policy