VOL. 17, NO. 2, 2016

Year Published: 
2016

Issue:

Editor's Note: Margaret M. Towle, PhD

The Masters Series
Antti S. Ilmanen, PhD: Smart Investing in an Environment of Low Expected Returns

Retirement Planning
Adaptive Distribution Theory, James B. Sandidge, JD
The Most Basic Missing Instrument in Financial Markets: The Case for Bonds for Financial Security, Arun Muralidhar, PhD, Kazuhiko Ohashi, PhD, and Sunghwan Shin, PhD

Institutional Consulting
The Evolution of Asset Categories: Lessons from University Endowments, John M. Mulvey, PhD, and Margaret Holen, PhD

Asset Allocation
Inflation-Linked Bonds for Strategic Asset Allocation, Kurtay Ogunc, PhD, and Asli Ogunc, PhD

Portfolio Management
Cloaked Trading, Lauren Cohen, PhD, Dong Lou, PhD, and Christopher Malloy, PhD