Global Tactical Asset Allocation

Asset Management Teams and Research Initiatives: 1998


Group Code: Tactical Trans-continental Asset Management

Growth, Value, Momentum, and Contrarian Investment Strategies



Group Code: East-West Imperial Funds

Use of the Graham-Harvey Measure in Optimizing a Global Tactical Asset Allocation Portfolio

Effect of Previous Month's Common Factor Movements on Country Equity Correlations



Group Code: OPM Investors

Value-based Sorting Strategies in South Korea



Group Code: SPAM Trading and Capital Management

Squeezing the Closed End Funds



Group Code: Matrix Capital LLP

Bottom-up Stock Selection in Mexico Methods for identifying stocks likely to outperform



Group Code: Frontier Asset Management

Correlation and Volatility: A study in OEX and stock options



Group Code: Beavis Financial Services

Topic



Group Code: PRO BONO ASSET MANAGEMENT

FORECASTING SP 500 RETURNS FROM 1982 TO 1997 USING NEURAL NETWORKS



Group Code: Allocators

Is Indonesia in Style: Examining Style Management in the Indonesian Equity Market



Group Code:WIZARD RISK MANAGEMENT

REGRESSION BASED BOTTOM UP STOCK SELECTION IN MEXICO