Great Investment Ideas is a collection of articles published in the
Journal of Portfolio Management from 1993 to 2015. The book
contains useful ideas for investment management and trading and
discusses the methods, results and evaluation of great investors.
It also covers important topics such as the effect of errors in
means, variances and co-variances in portfolio selection problems,
stock market crashes and stock market anomalies, portfolio theory
and practice, evaluation theory, etc. This book is a must-have
publication for investors and financial experts, researchers and
graduate students in finance.
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