Book review. Active Portfolio Management: A Quantitative Approach to Providing Superior Returns and Controlling Risk, 2nd edition. RC Grinold, RN Kahn
Author: Connor G.
Source: Review of Financial Studies, Volume 13, Number 4, 2000 , pp. 1153-1156(4)
Publisher: Oxford University Press
Abstract:
Document Type: Original article
Affiliations: London School of Economics, London, UK
Publication date: 2000-01-01
- The Review of Financial Studies is a major forum for the promotion and wide dissemination of significant new research in financial economics. As reflected by its broadly based editorial board, the Review balances theoretical and empirical contributions. The primary criteria for publishing a paper are its quality and importance to the field of finance, without undue regard to its technical difficulty. Finance is interpreted broadly to include the interface between finance and economics. The Review is sponsored by The Society for Financial Studies. The editors of the Review and officers of the Society are elected for limited terms.
- In this: publication
- By this: publisher
- In this Subject: Economics , Finance
- By this author: Connor G.

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