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Journal of Alternative Investments

Product Type: Market Research Report
Published by: Euromoney Institutional Investor PLC
Published: July 2005
Product Code: J242-0003
Description

The Journal of Alternative Investments is the only research publication on the alternative investments market. JAI offers institutional investors and portfolio managers research and analysis they can use to maximize returns and diversify allocations in today's volatile alternative investments marketplace.

JAI's mission is to provide knowledge that will contribute to an efficient and transparent alternative investments marketplace. Written by top professionals and academics, The Journal of Alternative Investments is intended to be the leading industry platform for the exchange of original research and practical analysis between money managers of alternative investments and institutional investors employing these alternative investment products in their portfolios.

A sampling of topics in The Journal of Alternative Investments will include:

  • finding the optimum way to define true performance
  • what is the standard deviation of a non-marketable investment
  • why the majority of indices distort real volatility levels
  • identifying unique manager skills to develop a fund of funds
  • evaluating the full range of distressed securities: a comparative analysis
Table of Contents
Please Note: Due to the brevity and/or nature of the content posted, there is no table of contents available for this report.
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