Items where Author is "Agarwal, Vikas"

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Number of items: 12.

Monograph

Agarwal, V, Daniel, N and and, Naik N (2008) Do hedge funds manage their reported returns? Working Paper. London Business School BNP Paribas Hedge Fund Centre Working Paper Series.

Agarwal, V, Boyson, N and Naik, N (2007) Hedge funds for retail investors? An examination of hedged mutual funds. Working Paper. London Business School BNP Paribas Hedge Fund Centre Working Paper Series.

Agarwal, V, Naik, N and et, al. (2007) Liquidity provision in the convertible bond market: analysis of convertible arbitrage hedge funds. Working Paper. London Business School BNP Paribas Hedge Fund Centre Working Paper Series.

Agarwal, V, Daniel, N D and Naik, N (2007) Role of managerial incentives and discretion in hedge fund performance. Working Paper. London Business School BNP Paribas Hedge Fund Centre Working Paper Series.

Agarwal, V, Daniel, N and Naik, N (2007) Why is Santa so kind to hedge funds? The December return puzzle! Working Paper. London Business School BNP Paribas Hedge Fund Centre Working Paper Series.

Agarwal, V, Naik, N and et, al. (2006) Risk and Return in Convertible Arbitrage: Evidence from the Convertible Bond Market. Working Paper. London Business School BNP Paribas Hedge Fund Centre Working Paper Series.

Agarwal, V, Daniel, N D and Naik, N (2006) Role of managerial incentives and discretion in hedge fund performance. Working Paper. London Business School BNP Paribas Hedge Fund Centre Working Paper Series.

Agarwal, V, Daniel, N D and Naik, N (2004) Flows, performance, and managerial incentives in hedge funds. Working Paper. London Business School Centre for Hedge Fund Research and Education Working Paper.

Agarwal, V and Naik, N (2002) Risks and portfolio decisions involving hedge funds. Working Paper. London Business School IFA Working Paper.

Agarwal, V and Naik, N (2001) Performance evaluation of hedge funds with option-based and buy-and-hold strategies. Working Paper. London Business School Centre for Hedge Fund Research and Education Working Paper.

Agarwal, V and Naik, N (2000) Performance evaluation of hedge funds with option-based and buy-and-hold strategies. Working Paper. London Business School IFA Working Paper.

Thesis

Agarwal, Vikas (2001) Place of hedge funds in a prudent portfolio: risk-return characteristics and performance evaluation. Doctoral thesis, University of London: London Business School. OPEN ACCESS

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