| 21 |
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Implied Expected Returns and the Choice of a Mean-Variance Efficient Portfolio Proxy
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Ardia, David; Boudt, Kris
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Institutional Investor, Inc
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2015
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| 22 |
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Implied ICA: Factor Extraction and Multiasset Derivative Pricing
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Kumiega, A.; Neururer, T.; Van Vliet, B.
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Institutional Investor, Inc.
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2012
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| 23 |
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Implied Volatility across Geographical Markets and Asset Classes
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Velev, Julian P.; Payne, Brian C.; Tresl, Jiri; Toledo, Wilfredo
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Institutional Investor, Inc
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2018
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| 24 |
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Implied Volatility Changes as Evidence of Stock Price Disequilibrium
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Diavatopoulos, Dean; Fodor, Andy
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Institutional Investor, Inc
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2017
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| 25 |
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Implied Volatility Dynamics Among Exchange-Traded Funds and Their Largest Component Stocks
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Krause, T.A.; Lien, D.
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Institutional Investor, Inc
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2014
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| 26 |
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Implied Volatility Estimation via l~1 Trend Filtering
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Crespo, Pablo; Huang, Ta-Cheng
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Institutional Investor, Inc
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2018
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| 27 |
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Improving Bondholder Communication
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Burke, P.; Beckmeier, S.E.
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Institutional Investor, Inc
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2014
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| 28 |
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Improving Factor Models
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Grinblatt, Mark; Saxena, Konark
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Institutional Investor, Inc
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2018
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| 29 |
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Improving Investment Behavior with Pre-Commitment
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Slifka, D.
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Institutional Investor, Inc
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2013
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| 30 |
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Improving Investment Operations through Data Science: A Case Study of Innovation in Valuation
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Guimarães, Arthur; Monk, Ashby; Porter, Sidney
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Institutional Investor, Inc
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2018
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| 31 |
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Improving Issuer-Investor Communication in U.S. Securitization Transactions
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Burke, P.A.; Morcom, M.C.
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Institutional Investor, Inc
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2013
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| 32 |
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Improving Risk Forecasts Through Cross-Sectional Observations
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Menchero, Jose; Morozov, Andrei
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Institutional Investor, Inc
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2015
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| 33 |
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IMPROVING THE INVESTMENT PROCESS WITH A CUSTOM RISK MODEL: A CASE STUDY WITH THE GLER MODEL
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Sivaramakrishnan, K.; Stubbs, R.A.
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Institutional Investor, Inc
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2013
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| 34 |
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Improving U.S. Stock Return Forecasts: A ``Fair-Value'' CAPE Approach
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Davis, Joseph; Aliaga-Díaz, Roger; Ahluwalia, Harshdeep; Tolani, Ravi
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Institutional Investor, Inc
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2018
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| 35 |
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Inconsistent by Definition
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Fridson, M.
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Institutional Investor, Inc.
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2012
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| 36 |
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Incorporating Linkers in a Global Government Bond Risk Model
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de Jong, M.
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Institutional Investor, Inc.
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2013
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| 37 |
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Increasing Investor Happiness with Holistic and Goal-Based Investment Advice
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Rohner, Philippe; Uhl, Matthias W.
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Institutional Investor, Inc
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2018
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| 38 |
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Increasing Transparency and Opportunity with Loan-Level Performance Data
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Colling, D.; Samborn, K.
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Institutional Investor, Inc.
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2012
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| 39 |
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In Defense of All-Active Manager Structures
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Lee, Hamilton; Williams, Jacqueline
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Institutional Investor, Inc
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2016
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| 40 |
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In Defense of Evidence-Based Wealth Management: Where's the Beef?
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Martin, Wm. Marty
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Institutional Investor, Inc
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2015
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