Subject
Economics and Econometrics,Finance
Reference44 articles.
1. Risk management, corporate governance, and bank performance in the financial crisis;Aebi;Journal of Banking & Finance,2012
2. Volatility of aggregate volatility and hedge fund returns;Agarwal;Journal of Financial Economics,2017
3. Performance evaluation of hedge funds with option-based and buy-and-hold strategies;Agarwal,2000
4. Risks and portfolio decisions involving hedge funds;Agarwal;The Review of Financial Studies,2004
5. Revisiting the limits of hedge fund indices: A comparative approach;Amenc;The Journal of Alternative Investments,2008
Cited by
18 articles.
订阅此论文施引文献
订阅此论文施引文献,注册后可以免费订阅5篇论文的施引文献,订阅后可以查看论文全部施引文献