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Main navigation Topics All Topics Portfolio Management in Theory and Practice Risk Management in Theory and Practice Quantitative Finance Regulation, Taxation, Governance, and Compliance Economics and Financial History Asset Classes Journals All Journals The Journal of Portfolio Management The Journal of Investing The Journal of Alternative Investments The Journal of Financial Data Science The Journal of Impact and ESG Investing The Journal of Fixed Income The Journal of Wealth Management The Journal of Retirement The Journal of Derivatives The Journal of Beta Investment Strategies The Journal of Structured Finance (Retired) The Journal of Private Equity (Retired) The Journal of Trading (Retired) Practical Applications Collections Top Picks More Videos Awards Experts Publish Promotional Opportunities Become A Member FAQsMy Account Request a Demo Menu The Journal of Alternative Investments Edited by Hossein Kazemi 4 regular issues, First published 1974, ISSN: 1520-3255, E-ISSN: 2168-8435 Upcoming articles Latest issue Add to Favorites Please log-in to or register for your personal account in order to save a bookmark. Log-in/register Share Close Share this journal Close Alerts You must be logged in as an individual apply an alert. Log-in/register Latest issue Volume 26, Issue 4 Spring 2024 Download issue PDF To download content, you need toDavies Gilles Grolleau 30 September 2023 - The Journal of Alternative Investments Is Alternative Investment a Successful Strategy? D.K. Malhotra 30 September 2023 - The Journal of Alternative Investments 2024 Spring 2024 : Vol. 26, Issue 4 2023 Winter 2024 : Vol. 26, Issue 3 Fall 2023 : Vol. 26, Issue 2 Summer 2023 : Vol. 26, Issue 1 Spring 2023 : Vol. 25, Issue 4 2022 Winter 2023 : Vol. 25, Issue 3 Fall 2022 : Vol. 25, Issue 2 Summer 2022 : Vol. 25, Issue 1 Spring 2022 : Vol. 24, Issue 4 2021 Due Diligence 2022 : Vol. 24, Issue 3 Pagination Current page 1 Page 2 Page 3 Page 4 Page 5 Page 6 Page 7 Page 8 Page 9 Next page Next › Last page Last » 06 March 2024 - Practical Applications Practical Applications of Is Alternative Investment a Successful Strategy? D.K. Malhotra 28 July 2023 - Practical Applications Practical Applications of What Information Variables Predict Bitcoin Returns? A Dimension-Reduction Approach Sang Baum Kang Yao Xie Jialin Zhao 28 July 2023 - Practical Applications Practical Applications of Cryptocurrency Momentum and Reversal Victoria Dobrynskaya 28 July 2023 - Practical Applications Practical Applications of Alpha Capture Systems: Past, Present, and Future Directions François-Serge Lhabitant Denis Mirlesse 26 June 2023 - Practical Applications Practical Applications of Asset Allocation with Crypto: Application of Preferences for Positive Skewness Andrew Ang Tom Morris Raffaele Savi 26 June 2023 - Practical Applications Practical Applications of Information Content of Hedge Fund Equity Option Holdings Juha Joenväärä Mikko Kauppila Pekka Tolonen 26 June 2023 - Practical Applications Practical Applications of Private Equity Fund Pricing in Secondary Markets: Effect of Taxes and Fund Structure Paul Mason Steven Utke 10 March 2023 - Practical Applications Practical Applications of Questioning the Wisdom of Crowds to Design Portfolio Diversification Strategies Vadim Zlotnikov Mikhail Stukalo Igor Halperin Lisa Huang Cathy Pena 10 March 2023 - Practical Applications Practical Applications of Hedge Fund Networks Gueorgui S. Konstantinov 10 March 2023 - Practical Applications Practical Applications of Cash for Calls: A Quantitative Approach to Managing Liquidity for Capital Calls Jerome Schneider Sean Klein Wade Sias Simon Fan Pagination Current page 1 Page 2 Page 3 Page 4 Page 5 Next page Next › Last page Last » About the Journal The Journal of Alternative Investments (JAI) offers detailed analysis and expert insight on the evolving field of alternative investments. The JAI strives to provide its readers with practical tools such that they can (a) benefit from the growth of alternatives investment products, (b) determine the optimal mix of traditional and alternative investments, (c) manage their alternative investment portfolios with proven risk management practices, and (d) use the latest techniques to perform financial and operational due diligence on managers of private funds. The Journal of Alternative Investments is the official publication of the Chartered Alternative Investment Analyst Association (CAIA®). About the Association Founded in 2002, the Chartered Alternative Investment Analyst Association (CAIA®) is the global authority in alternative investment education. The CAIA is best known for the CAIA Charter®, an internationally recognized finance credential and the gateway to a network of more than 8,700 alternative investment leaders in almost 90 countries. For more information see C AIA’s website Mission To increase the interaction between the academic, practitioner, and investor communities. JAI is devoted to the understanding and analysis of these markets including regulatory, administration/management, and investment performance issues. Vision The Journal of Alternative Investments is intended to be the leading industry platform for the exchange of original research and practical analysis between managers of alternative investments and institutional investors who include alternative investments in their portfolios. History The Journal of Alternative Investments was created by Thomas Schneeweis in 1998. Several years earlier, Dr. Schneeweis had established the Center for International Securities and Derivatives Markets (CISDM) at the Isenberg School of Management, University of Massachusetts as the first academic center focused on alternative investments. The JAI was established to further the CISDM’s research mission. In 2002, the CISDM and the Alternative Investment Management Association (AIMA) established the Chartered Alternative Investment Analyst Association and adopted the JAI as its official publication. Hossein Kazemi assumed the editorship of the JAI in 2012. Indexed In Australian Business Deans Council, Google Scholar, Jouroscope, Scimago Journal & Country Rank, Scopus, Web of Science Hossein Kazemi Dr. Hossein Kazemi is "Michael and Cheryl Philipp Professor of Finance" at the Isenberg School of Management, the University of Massachusetts - Amherst. He is the Director of the Center for International Securities & Derivatives Markets, a nonprofit organization devoted to research in the area of alternative investments, a co-founder of the CAIA Association, and home to CISDM Hedge Fund/CTA Database and The Journal of Alternative Investments , the official research publication of the CAIA Association. Dr. Kazemi is the senior adviser to the CAIA Association’s Program and has been involved with the CAIA Association since its inception as a senior adviser and a managing director. In his current role, he helps with the development of the CAIA program’s curriculum and directs the CAIA Association’s academic partnership program. In addition, he serves as the editor of Alternative Investment Analyst Review, which is published by the Association. Dr. Kazemi has over 25 years of experience in the financial industry and has served as consultant to major financial institutions. His research has been in the areas of valuations of equity and fixed income securities, asset allocation for traditional and alternative asset classes, and evaluation and replication of active management investment products. He has a Ph.D. in finance from the University of Michigan. Explore more research from Mr. Kazemi Editors Hossein Kazemi | Editor-in-Chief, CISDM/Isenberg School of Management, University of Massachusetts at Amherst Mark Anson, CAIA | Editor, Commonfund Bing Liang | Editor, CISDM/Isenberg School of Management, University of Massachusetts at Amherst Mila Getmansky Sherman | Editor, CISDM/Isenberg School of Management,University of Massachusetts at Amherst Rodney Sullivan, CAIA | Editor, Mayo...

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