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THIRD-PARTY RESEARCH
- Performance in the Currency Industry - Is the End Nigh?
Amy Middleton, Bank of America
- Replication - Based Evaluation of Hedge Fund Performance
Harry M. Kat, Cass Business School
- Exploring Value in Hedge Fund Lock Ups: A Sector View
Jeffrey F. Kuchta, CFA
- Is The Case For Investing In Commodities Really That Obvious?
Harry M. Kat, Cass Business School
- What Every Investor Should Know About Commodities. Part II: Multivariate Return Analysis
Harry M. Kat, Cass Business School
Roel Oomen, Warwick Business School
- Absolute Returns in Commodity (Natural Resources) Futures Investments.
Hilary Till, Premia Capital Management
Jodie Gunzberg,Ibbotson Associates
- Does Optimizing Fund Growth Require Managerial Skill?
Paul Lajbcygier
Clayton School of IT, Monash University, Australia
- Future Risk
Christopher Finger, Luis O'Shea
Riskmetrics
- Separating the Wheat from the Chaff: Backwardation as the Long-Term Driver of Commodity Futures Performance.
Barry Feldman, Russell Investment Group and Prism Analytics
Hilary Till, Premia Capital
- What Every Investor Should Know About Commodities. Part I: Univariate Return Analysis.
Harry M. Kat, Cass Business School
Roel C.A. Oomen, Warwick Business School
- Superstars or Average Joes? A Replication-Based Performance Evaluation of 1917 Individual Hedge Funds
Harry M. Kat, Helder P. Palaro
Cass Business School
- Hedge Fund Transparency Increasing, 2005 Hedge Fund Database Study
Strategic Financial Solutions
- Does a Change in Risk Regime Spell Trouble for Hedge Funds?
Conquest Capital Group LLC
- Volatility, Leverage and Returns
Jan Loeys, Nikolaos Panigirtzoglou
J.P. Morgan
- 2005 Alternative Investor Survey
Deutsche Bank's Hedge Fund Capital Group
- The Right Place for Alternative Betas in Hedge Fund Performance: An Answer to the Capacity Effect Fantasy
Walter Gehin, Mathieu Vaissie
Edhec Risk and Asset Management Research Centre
- Hedge Fund Returns: You Can Make Them Yourself!
Harry Kat, Helder P. Palaro
- The Big One... The Asian Dollar
CrossBorder Capital
- Is Indexing Suitable for Hedge Fund Investing?
by Jim Tomeo, Rob Covino, and Brian Chung
SSaris Advisors, LLC
- Hedge Funds Have Alpha is a Hypothesis Worth Testing
by Ron Surz
PPCA
- The Scrap Steel Standard
CrossBorder Capital
- On The Role Of Hedge Funds In Institutional Portfolios
by Hilary Till
Premia Risk Consultancy, Inc.
- Investable Hedge Fund Indices
Jacobson Fund Managers Ltd
- The Role of Long/Short Equity Hedge Funds in Investment Portfolios
by R. McFall Lamm, Jr.
DB Absolute Return Strategies
- The Capacity Implications of the Search for Alpha
by Hilary Till
Premia Risk Consultancy, Inc.
- Facts and Fantasies About Commodity Futures
by K. Geert Rouwenhorst, Gary Gorton
Yale School of Management, University of Pennsylvania
- Fund of Hedge Funds Portfolio Selection: A Multiple-Objective Approach
by Ryan J. Davies, Harry M. Kat, and Sa Lu
- Weighing the Cost of Illiquidity
by Hilary Till
Premia Capital Management
- Regulatory Analysis of Use of Security Futures Products by Investment Advisers, Investment Companies, Hedge Funds, Commodity Pools and Commodity Trading Advisors
by David Matteson
Gardner Carton & Douglas
- Managed Futures Can Save Your Tail
by Steven Koomar
KV1 Asset Management LLC
- Hedge Fund Performance and Persistence in Bull and Bear Markets
by Daniel Capocci, Albert Corhay, and Georges Hubner
University of Liege (Belgium)
- The Continuing Case for Emerging Markets
Everest Capital
- Alternative RAPMs for Alternative Investments
by Milind Sharma
Merrill Lynch
- Beware of Systematic Style Biases
by Marc Goodman, Kenneth Shewer & Richard Horvitz
Kenmar Global Investment
- Squeezing the Best from Hedge Fund Diversification
by Marc Goodman, Kenneth Shewer & Richard Horvitz
Kenmar Global Investment
- What Drives Hedge Fund Returns?
by Michael Howell
CrossBorder Capital Limited
- Hedge Funds Selling Beta As Alpha
by Greg Jansen
Bridgewater Associates
- Commentary on the Japanese Market
by Nick Bullman
Chairman of Investor Select Advisors
- Is Asset Allocation Still Working?
by Edgar E. Peters
Panagora Asset Management
- Timing Multiple Markets: Theory and Evidence
by George O. Aragon
The Wallace E. Carroll School of Management - Boston College
- Portfolio Optimization and Hedge Fund Style Allocation Decisions
by Noël Amenc and Lionel Martellin
EDHEC Risk and Asset Management Research Centre
- The Brave New World of Hedge Fund Indices
by Noël Amenc and Lionel Martellin
EDHEC Risk and Asset Management Research Centre
- The Pros and Cons of 'Drawdown' as a Measure of Risk for Investments
by David Harding, Georgia Nakou and Ali Nejjar
Winton Capital Management
- Trend Following: Performance, Risk, and Correlation Characteristics
by Michael S. Rulle
President of Graham Capital Management
- Risk Considerations Unique to Hedge Funds
by Hilary Till
Premia Capital Management
- Managed Futures and Hedge Funds: A Match Made in Heaven
by Harry M. Kat
The University of Reading (UK)
- Hedge Fund Diversification : How Much Is Enough?
by François-Serge Lhabitant and Michelle Learned
Thunderbird, the American Graduate School of International Management
- Managed Futures: A Real Alternative
by Gildo Lungarella
Harcourt AG
- Hedge Funds with Style
by Stephen J. Brown
NYU Stern School of Business
and
William N. Goetzmann
Yale School of Management
- Stocks, Bonds and Hedge Funds : Not a Free Lunch!
by Guarav S. Amin and Harry M. Kat
The University of Reading (UK)
- Returns-Based Analyses of Hedge Funds
by Hillary Till
Premia Capital Management
- How to Incorporate Hedge Funds and Active Portfolio Management into an Asset Allocation Framework
by Brett H. Wander and Dennis M. Bein
Analytic Investors
- Tail or Dog - The Pond's Getting Crowded
by Steve Galbraith and Mary Viviano
Morgan Stanley
- Traditional Long-Only Managers Move Into Hedge Fund Arena
RoundTable Panelists:
Mark Anson (CalPERS)
Jeffrey James (Driehaus Capital Management)
Paul Wick (J&W Seligman & Co.)
- A Risk Too Big to Comprehend
by Jonathan Spring
- Measure for Measure
by Hillary Till
- A Mutually Rewarding Enterprise?
by Randy Warsager
- Are Investors Over-Invested In Equities?
by Professor Fernando Diz
Syracuse University
- Managed Futures: Out of Favor, or Outta Here?
by Brad Cole
President, Cole Partners
Chicago, Illinois
- Managing Investor Drawdowns Through a Risk Control Plan:
A New Model for Evaluating Manager Performance
by Tushar Chande
President, LongView Capital Management, L.L.C.
- The Benefits of a Long Volatility Investment Approach in a Multi-Fund Portfolio:
by Alan R. Kaufman
Chief Investment Officer, Trilogy Capital Management Group, L.L.C.
- Risk Management:
A Practical Approach to Managing a Portfolio of Hedge Funds
for a Large Insurance Company
by Norman Chait, CFA
AIG Global Investment Corporation
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