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The Journal of Portfolio Management
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The Journal of Portfolio Management

The Journal of Portfolio Management

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

  • Home
  • Current Issue
  • Past Issues
  • Videos
  • Submit an article
  • More
    • About JPM
    • Awards
    • Editorial Board
    • Published Ahead of Print (PAP)
  • Follow IIJ on LinkedIn
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Latest Articles

  • You have access
    Reexamining the Real Estate Quadrants
    Kieran Farrelly and Alex Moss
    The Journal of Portfolio Management Special Real Estate Issue 2021, 47 (10) 62-74; DOI: https://doi.org/10.3905/jpm.2021.1.271
  • You have access
    Global Risk Premiums on Direct Office Real Estate Returns
    Ivo de Wit and Christopher Mayer
    The Journal of Portfolio Management Special Real Estate Issue 2021, 47 (10) 91-106; DOI: https://doi.org/10.3905/jpm.2021.1.266
  • You have access
    Investment Performance of US High-Yield Real Estate Debt: An Empirical Analysis
    Michael Giliberto
    The Journal of Portfolio Management Special Real Estate Issue 2021, 47 (10) 127-144; DOI: https://doi.org/10.3905/jpm.2021.1.269
  • You have access
    Three Decades of Global Institutional Investment in Commercial Real Estate
    Alexander Carlo, Piet Eichholtz and Nils Kok
    The Journal of Portfolio Management Special Real Estate Issue 2021, 47 (10) 25-40; DOI: https://doi.org/10.3905/jpm.2021.1.275
  • You have access
    Private Equity Real Estate Fund Performance: A Comparison to REITs and Open-End Core Funds
    Thomas R. Arnold, David C. Ling and Andy Naranjo
    The Journal of Portfolio Management Special Real Estate Issue 2021, 47 (10) 107-126; DOI: https://doi.org/10.3905/jpm.2021.1.276
  • You have access
    The Implications of Contemporary Research on COVID-19 for Volatility and Portfolio Management
    Dominique Outlaw, Aimee Hoffmann Smith and Na Wang
    The Journal of Portfolio Management Novel Risks 2021, 47 (9) 159-177; DOI: https://doi.org/10.3905/jpm.2021.1.282
  • Open Access
    Editors’ Introduction to the Special Issue on Novel Risks and Sources of Volatility: Identification and Measurement Challenges for Portfolio Management
    Frank J. Fabozzi and Ahmet K. Karagozoglu
    The Journal of Portfolio Management Novel Risks 2021, 47 (9) 1-4; DOI: https://doi.org/10.3905/jpm.2021.1.289
  • You have access
    Top-Down Portfolio Implications of Climate Change
    Yesim Tokat-Acikel, Marco Aiolfi, Lorne Johnson, John Hall and Jessica (Yiwen) Jin
    The Journal of Portfolio Management Novel Risks 2021, 47 (9) 69-91; DOI: https://doi.org/10.3905/jpm.2021.1.279
  • You have access
    Geopolitical Risk in Investment Research: Allies, Adversaries, and Algorithms
    Joseph Simonian
    The Journal of Portfolio Management Novel Risks 2021, 47 (9) 92-109; DOI: https://doi.org/10.3905/jpm.2021.1.284
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    Socially Responsible Investing Strategies under Pressure: Evidence from the COVID-19 Crisis
    Gunther Capelle-Blancard, Adrien Desroziers and Olivier David Zerbib
    The Journal of Portfolio Management Novel Risks 2021, 47 (9) 178-197; DOI: https://doi.org/10.3905/jpm.2021.1.288

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