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Publications by William N. Goetzmann

British Investment Overseas 1870–1913: A Modern Portfolio Theory Approach*

Review of Finance
AccountingEconomicsEconometricsFinance
2006English

The Bias of the RSR Estimator and the Accuracy of Some Alternatives

Real Estate Economics
AccountingEconomicsEconometricsFinance
2002English

High-Water Marks and Hedge Fund Management Contracts

SSRN Electronic Journal
1998English

Sharpening Sharpe Ratios

SSRN Electronic Journal
2002English

The Bias of the RSR Estimator and the Accuracy of Some Alternatives

SSRN Electronic Journal
2001English

Behavioral Factors in Mutual Fund Flows

SSRN Electronic Journal
2000English

Equity Portfolio Diversification

SSRN Electronic Journal
2004English

Portfolio Diversification and City Agglomeration

SSRN Electronic Journal
2003English

Dutch Securities for American Land Speculation in the Late Eighteenth Century

English

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