Other
- How Risk–Return Efficient Are Target Risk Strategies?Roland Füss, Markus Grabellus, Ferdinand Mager and Jan-Carl PlaggeThe Journal of Index Investing February 2014, 4 (4) 33-42; DOI: https://doi.org/10.3905/jii.2014.4.4.033
- Smart Beta 2.0Noël Amenc and Felix GoltzThe Journal of Index Investing November 2013, 4 (3) 15-23; DOI: https://doi.org/10.3905/jii.2013.4.3.015
- The Mutual Fund Scandal and Investor ResponseMark Potter and Christopher G. SchwarzThe Journal of Index Investing May 2012, 3 (1) 29-38; DOI: https://doi.org/10.3905/jii.2012.3.1.029
- Passive Options in DC Plans: Do Plan Participants
Have Access to Indexing?Peter Tsui, Philip Murphy and Srikant DashThe Journal of Index Investing February 2012, 2 (4) 50-54; DOI: https://doi.org/10.3905/jii.2012.2.4.050 - Strategic Allocation to Premiums in the Equity MarketDavid BlitzThe Journal of Index Investing February 2012, 2 (4) 42-49; DOI: https://doi.org/10.3905/jii.2012.2.4.042
- Choosing an Appropriate African Equity IndexDaniel Broby and Jennifer PassmoorThe Journal of Index Investing February 2012, 2 (4) 34-41; DOI: https://doi.org/10.3905/jii.2012.2.4.034
- The Rich Get Richer and So Can You:
Investing in a Billionaires’ IndexJoel M. Shulman and Erik NoyesThe Journal of Index Investing February 2012, 2 (4) 12-32; DOI: https://doi.org/10.3905/jii.2012.2.4.012 - Editor’s LetterBrian R. BruceThe Journal of Index Investing May 2011, 2 (1) 2-3; DOI: https://doi.org/10.3905/jii.2011.2.1.002
- Equity Market Integration and Portfolio Decisions: A Study of NASDAQ USA and MSCI Emerging Markets Asia IndexesRitesh PatelThe Journal of Wealth Management April 2021, 24 (1) 11-39; DOI: https://doi.org/10.3905/jwm.2021.1.129
- The Impact of Macroeconomic Determinants on the S&P Energy, S&P Industrial, S&P IPO, and S&P Telecom Indexes of the BSEAakruthi A. AlarnkarThe Journal of Wealth Management October 2019, 22 (3) 103-114; DOI: https://doi.org/10.3905/jwm.2019.1.086
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