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2017, ISBN 9781137591906, xviii, 262 pages
This book demonstrates how quantitative country-level investment strategies can be successfully employed to manage money in international markets. It offers a... 
Investment banking | Investments and Securities | Popular Science in Economics | Econometrics | Economics, general | Finance | BUSINESS & ECONOMICS
Book
The American Economic Review, ISSN 0002-8282, 4/2013, Volume 103, Issue 2, pp. 732 - 770
Journal Article
The Journal of Economic Perspectives, ISSN 0895-3309, 7/2017, Volume 31, Issue 3, pp. 29 - 45
Journal Article
2010, ISBN 9781589069275, xxi, 306
The book covers a wide range of topics of relevance to policymakers in countries that have sovereign wealth funds (SWFs) and those that receive SWF... 
Finance
Book
2011, ISBN 0821384708, xvi, 343
And key messages -- Key principles of governance and investment management -- Governance of public pension assets -- Governance structures and accountabilities -- Qualification, selection... 
Pension trusts | Investments | Financial crises | 21st century | INVESTMENT DECISIONS | INVESTMENT FUND | GLOBAL MARKETS | PENSION CONTRIBUTIONS | AUDIT COMMITTEE | INVESTMENT STRATEGY | INVESTMENT RISK | EQUITY MARKET VOLATILITY | OPPORTUNITY COSTS | FOREIGN CURRENCY | LIQUIDITY MANAGEMENT | MACROECONOMIC STABILITY | HUMAN DEVELOPMENT | TRANSITION ECONOMIES | FISCAL BURDENS | INVESTMENT POLICY | GOOD GOVERNANCE | SAFER ASSETS | INTEREST RATES | HEDGES | LIABILITY | PUBLIC ACCOUNTABILITY | TRADING | RESERVE FUND | REPLACEMENT RATE | POLICY RESPONSES | FOREIGN EXCHANGE | HEDGE FUNDS | EQUITY INVESTMENTS | INVESTMENT CAPABILITIES | MUTUAL FUND | AUDITS | REGULATORY STANDARDS | EQUITY INDEX | LIQUIDITY | INVESTING | INVESTMENT CORPORATION | FINANCIAL INSTITUTIONS | EXPOSURE TO RISKS | CASH FLOWS | RISK AVERSION | CURRENCY HEDGING | DISCOUNT RATES | GLOBAL PENSIONS | GOVERNANCE MECHANISMS | MARKET VALUES | POLITICAL RISKS | RETIREMENT AGE | TURNOVER | LOCAL CURRENCY | HEDGE FUND | CAPITAL REQUIREMENTS | PENSION SYSTEM | INTERNATIONAL INVESTMENTS | RISK MANAGEMENT | HEDGE RATIOS | PURCHASING POWER | INTERNATIONAL BANK | INVESTMENT HORIZON | INVESTMENT OPPORTUNITIES | FAIR VALUE | REAL ESTATE | RISK POOLING | PENSION FUND ASSETS | PENSION FUND | PENSION ASSET | DOMESTIC CAPITAL | FOREIGN EXCHANGE MARKETS | INVENTORY | TRUSTEE | DEMOGRAPHIC | ILLIQUIDITY | ASSET CLASSES | GOVERNMENT BONDS | OUTPUT | REFORM PROGRAM | FIDUCIARY RESPONSIBILITY | PENSION FUNDS | RESERVE FUNDS | RETIREMENT SYSTEM | REPLACEMENT RATES | RESERVE | RETIREMENT SAVINGS | BENEFICIARIES | FINANCIAL ASSETS | INSURANCE | CODE OF CONDUCT | CONFLICT OF INTEREST | PENSION PRODUCT | ASSET-LIABILITY MANAGEMENT | REGULATORY AGENCIES | RETURN | PRIVATE PENSIONS | PENSIONS | PORTFOLIO RISK | EXPOSURE | CURRENCY | FOREIGN CURRENCY EXPOSURES | PRODUCTIVE INVESTMENT | REGULATORY ENVIRONMENT | INSTITUTIONAL INVESTMENT | PENSION SYSTEMS | FINANCIAL CRISES | PAYMENT OBLIGATIONS | FUND MANAGERS | HOME CURRENCY | PENSION PROVISION | RESERVES | SAVINGS | EQUITY MARKET | PRUDENTIAL REGULATION | COLLATERAL | GLOBAL PRIVATE EQUITY | RATES OF RETURN | GROSS DOMESTIC PRODUCT | PENSION | INVESTMENT MARKETS | INVESTMENT RISKS | COPYRIGHT CLEARANCE | MONETARY AUTHORITIES | PORTFOLIO ALLOCATION | HEDGE RATIO | ASSET MANAGERS | CREDIT RISK | DEFICITS | RISK MANAGEMENT POLICIES | DERIVATIVES | TRUSTEES | PROVIDENT FUND | FINANCIAL MARKETS | FINANCIAL STABILITY | FINANCIAL SYSTEM | INVESTMENT MANAGEMENT | INFORMATIONAL ASYMMETRY | FLEXIBLE EXCHANGE RATE | INFLATION RATE | INVESTMENT PORTFOLIOS | RISK PREMIUMS | EMPLOYEES RETIREMENT | OLD-AGE INCOME | RISK PROFILE | RISK FACTORS | INVESTMENT MANAGER | PENSION ASSETS | TRANSACTION | DOMESTIC CURRENCY | CAPITAL MARKET | PUBLIC COMPANY | RISKY ASSETS | INVESTMENT FUNCTIONS | EMPLOYEES PENSION | RISK DIVERSIFICATION | CURRENCY RISK | SOLVENCY | OUTSOURCING | SECURITIES | RETURNS | INSTITUTIONAL FUNDS | COPYRIGHT CLEARANCE CENTER | REGULATORY CONSTRAINTS | FINANCIAL CRISIS | INTERNATIONAL DIVERSIFICATION | CORPORATE BONDS | ASSET MANAGEMENT | EQUITY RETURNS | INFLATION | EQUITY MARKETS | ALTERNATIVE ASSET | DEGREE OF TRANSPARENCY | HOLDING | PRICE DISCOVERY | SAFETY NETS | RISK MANAGEMENT SYSTEMS | SAVINGS ACCOUNTS | ACCOUNTING STANDARDS | PORTFOLIOS | INVESTMENT CHOICES | TAX | FUND MANAGEMENT | PRIVATE EQUITY | VALUATIONS | SWAPS | DOMESTIC CAPITAL MARKETS | FOREIGN MARKETS | ACCOUNTING | INVESTMENT STRATEGIES | TRANSACTION COSTS | TRADING COSTS | PENSION FUND ASSET | VALUATION | INTERNAL CONTROLS | ASSET CLASS | SWAP | INTEREST RATE | LOCAL CURRENCIES | TRADING VOLUME | INSTITUTIONAL INVESTORS | INVESTMENT PROCESS | INVESTMENT GOVERNANCE | HUMAN CAPITAL | INVESTMENT POLICIES | USE OF DERIVATIVES | INVESTMENT CAPITAL | PUBLIC PENSION | PENSION PRODUCTS | TRANSPARENCY | ASSET VALUES | TREASURY | REGULATORS | BASIS POINTS | PORTFOLIO | PENSION LIABILITIES | HOLDINGS | INVESTMENT MANAGERS | EQUITIES | FOREIGN INVESTMENT | BANKING SECTOR | ASSET GROWTH | OPTIMAL INVESTMENT | INVESTMENT PROFESSIONALS | LEVEL OF RISK
Book
The American Economic Review, ISSN 0002-8282, 5/2012, Volume 102, Issue 3, pp. 101 - 106
Journal Article
2013, ISBN 9781484315347, xiii, 229
China has reached a stage where further financial sector reforms appear essential. As the reform process progresses and macrofinancial linkages deepen, the... 
Banks and banking | Macroeconomics | China Economic policy | Economic development | Finance | Economic stabilization | 21st century | China | 2000 | Economic policy
Book
The Journal of Finance, ISSN 0022-1082, 12/2016, Volume 71, Issue 6, pp. 2861 - 2903
.... This failing, which underlies virtually all modern asset pricing puzzles, arises because these models load all uncertainty onto the supply side of the economy... 
Risk aversion | Consumption | Dividends | Economic models | Price premiums | Consumer economics | Correlations | Standard error | Nominal yield | Yield curves | RARE DISASTERS | BUSINESS, FINANCE | TEMPORAL BEHAVIOR | PRICES | EQUITY PREMIUM | TERM STRUCTURE | LONG-RUN | RETURNS | ECONOMICS | MODEL | CONSUMPTION | STOCK | Federal Reserve banks | Pricing | Financial disclosure
Journal Article
The American Economic Review, ISSN 0002-8282, 8/2013, Volume 103, Issue 5, pp. 1728 - 1758
Journal Article
The American Economic Review, ISSN 0002-8282, 5/2013, Volume 103, Issue 3, pp. 623 - 628
Journal Article
2015, 1, Wiley finance series, ISBN 9781119135517, xvii, 557
Financial Risk Management presents an in-depth look at banking risk on a global scale, including comprehensive examination of the U.S. Comprehensive Capital... 
Banks and banking | Financial institutions | Financial risk management | Risk management | Finance
Book
The Journal of Finance, ISSN 0022-1082, 12/2014, Volume 69, Issue 6, pp. 2557 - 2596
Journal Article