<--- Back to Details
First PageDocument Content
Investment / Robert D. Arnott / Investment strategy / Active management / Value investing / Investment management / Market anomaly / Investment fund / Stock market / Fundamentally based indexes / Stock selection criterion
Date: 2016-08-20 04:09:20
Investment
Robert D. Arnott
Investment strategy
Active management
Value investing
Investment management
Market anomaly
Investment fund
Stock market
Fundamentally based indexes
Stock selection criterion

FUNDAMENTALS ™ November 2015

Add to Reading List

Source URL: www.anderson.ucla.edu

Download Document from Source Website

File Size: 321,71 KB

Share Document on Facebook

Similar Documents

Investment / Robert D. Arnott / Investment strategy / Active management / Value investing / Investment management / Market anomaly / Investment fund / Stock market / Fundamentally based indexes / Stock selection criterion

FUNDAMENTALS ™ November 2015

DocID: 1py5X - View Document

Mathematical finance / Investment / Financial markets / Stock market / Valuation / Rate of return / Economic bubble / Value investing / Volatility / Stock / Stock selection criterion / Fundamentally based indexes

2016 q1 FrankValueFund letter

DocID: 1pgJk - View Document

Mathematical finance / Financial services / Funds / Investment / Technical analysis / S&P 500 Index / Beta / Active management / Volatility / Capitalization-weighted index / Exchange-traded fund / Fundamentally based indexes

SCIU Scientific Beta US ETF KEY FEATURES

DocID: 1oEBA - View Document

Financial markets / Investment / Stock market / Fundamental analysis / Financial ratios / Stock selection criterion / Robert D. Arnott / Fundamentally based indexes / Risk parity / Robert J. Shiller / Beta / Market timing

Q FALL 2013 SEMINAR REVIEW The Four Seasons, Scottsdale Arizona Sunday, October 13, 2013 through Wednesday, October 16, 2013

DocID: 1nTly - View Document

Mathematical finance / Economics / Investment / Financial risk / Capital asset pricing model / Fundamentally based indexes / Investment management / Beta / Risk premium / Financial economics / Finance / Financial markets

JOURNAL OF INVESTMENT MANAGEMENT, Vol. 6, No. 1, (2008), pp. 1–11 © JOIM 2008 JOIM www.joim.com

DocID: 1gxSu - View Document