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Economics / Financial risk / Mathematical finance / Financial services / Investment management / Hyperbolic absolute risk aversion / Hedge fund / Modern portfolio theory / Harry Markowitz / Financial economics / Investment / Finance
Date: 2013-11-27 02:19:32
Economics
Financial risk
Mathematical finance
Financial services
Investment management
Hyperbolic absolute risk aversion
Hedge fund
Modern portfolio theory
Harry Markowitz
Financial economics
Investment
Finance

THE JOURNAL OF FINANCE • VOL. LXVIII, NO. 6 • DECEMBER[removed]Dynamic Trading with Predictable Returns and Transaction Costs ˆ NICOLAE GARLEANU

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