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PMR Guides

ADVANCED SEARCH: Discover more content by journal, author or time frame

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About the guides

Portfolio Management Research Guides offer original research on very current and specialized themes of interest to institutional allocators and asset managers.  Guides include either article subject matter that is not currently found in a current journal, or a concentration of articles on a specialized theme. Articles are solicited, edited, styled, and discoverable just like any of our other Journals and are written by top industry practitioners and academics.

There are four series:

  1. ETF's and Indexing: The latest innovations in Exchange-Traded Funds and Indexing, written by leading practitioners using these instruments and by academics offering insightful research. Articles cover sector allocation, product options, the use and performance of ETFs in different market environments, and liquidity and fixed income in ETFs.
  2. Special Issues: Special Issues of Portfolio Management Research Journals highlight significant topics within each journal’s focus, such as: real estate (Journal of Portfolio Management), socially responsible investing (Journal of Investing) and integrated wealth management (Journal of Wealth Management). These issues offer leading research and commentary on a range of current topics.
  3. Trading: Timely, authoritative information on institutional trading issues, ranging from global liquidity, algorithmic trading and multi-asset trading strategies, to transaction costs and transition management. These Trading Guides provide a single reference for institutional investors on the latest trading techniques.
  4. Turnaround Management: Practical research on corporate restructuring and turnaround management issues, including execution, strategic concepts, managing turnarounds, and investment strategies. These Guides on all aspects of working with financially and operationally distressed companies are written for investors, company managers or directors, bankers, lawyers, and consultants.
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