| Foreword |
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xi | |
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| Preface |
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xxi | |
| Sources |
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xxiii | |
| I Expectations and Performance |
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1 | (98) |
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Improved Forecasting through the Design of Homogeneous Groups |
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3 | (28) |
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Professional Expectations: Accuracy and Diagnosis of Errors |
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31 | (16) |
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Journal of Financial and Quantitative Analysis |
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Expectations and Share Prices |
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47 | (20) |
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Expectational Data and Japanese Stock Prices |
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67 | (12) |
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Japan and the World Economy |
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Discrete Expectational Data and Portfolio Performance |
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79 | (20) |
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| II The Performance of Managed Portfolios |
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99 | (6) |
| Theoretical |
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105 | (18) |
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Differential Information and Timing Ability |
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107 | (16) |
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Journal of Banking and Finance |
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| Empirical Commodities Partnerships |
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123 | (60) |
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Professionally Managed, Publicly Traded Commodity Funds |
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125 | (28) |
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New Public Offerings, Information, and Investor Rationality: The Case of Publicly Offered Commodity Funds |
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153 | (16) |
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The Performance of Publicly Offered Commodity Funds |
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169 | (14) |
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Financial Analysts Journal |
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| Mutual Funds---Stock Investments |
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183 | (152) |
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Efficiency with Costly Information: A Reinterpretation of Evidence from Managed Portfolios |
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185 | (24) |
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Review of Financial Studies |
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Survivorship Bias and Mutual Fund Performance |
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209 | (26) |
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Review of Financial Studies |
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The Persistence of Risk-Adjusted Mutual Fund Performance |
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235 | (28) |
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| Mutual Funds---Bond Investments |
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The Performance of Bond Mutual Funds |
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263 | (40) |
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Fundamental Economic Variables, Expected Returns, and Bond Fund Performance |
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303 | (32) |
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| III Debt Markets |
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335 | (82) |
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Intra-Day Tests of the Efficiency of the Treasury Bill Futures Market |
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337 | (18) |
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Review of Economics and Statistics |
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Employing Financial Futures to Increase the Return on Near Cash (Treasury Bill) Investments |
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355 | (12) |
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Bond Returns, Immunization and the Return Generating Process |
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367 | (34) |
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Studies in Banking and Finance |
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The Structure of Spot Rates and Immunization |
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401 | (16) |
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| Index |
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417 | |