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Browse College of Business by Author "Jochec, Marek"
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Now showing items 1-1 of 1
Essays on Market Microstructure, Behavioral Finance, and Asset Management
Jochec, Marek
(
2009
)
Finally, in the last chapter we use daily observations from 448 actively managed funds and employ the empirical strategy of Bollen and Busse (2001) to assess the ability of fund managers to time systematic risk factors. ...
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