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Publisher: Palgrave Macmillan

Volume 3, Number 3, 1 December 2002

Editorial — The use and abuse of risk management
pp. 200-201(2)
Author: MacQueen, J

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Asset allocation versus security selection: Evidence from global markets
pp. 202-212(11)
Authors: Kritzman, M; Page, S

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Non-parametric forecasting for conditional asset allocation
pp. 213-228(16)
Authors: Beckers, S; Blair, B

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Hedge fund survival lifetimes
pp. 237-252(16)
Author: Gregoriou, G N

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International stock market linkages: A factor analysis approach
pp. 253-265(13)
Authors: Illueca, M; Lafuente, J A

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The impact of technological alliances on the information set: Evidence from the Spanish stock exchange
pp. 266-278(13)
Authors: Bayona, C; Corredor, P; SantamarĂ­a, R

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Are asset managers properly using tracking error estimates?
pp. 279-289(11)
Authors: Zenti, R; Pallotta, M

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Portfolio Construction and Risk Budgeting
pp. 290-291(2)
Author: Satchell, Stephen E

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