Volumes and issues
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Volume 25 February - March 2024
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Volume 24 February - December 2023
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December 2023, issue 7
Special Issue : Risks related to environmental, social and governmental issues (ESG).
- October 2023, issue 6
- September 2023, issue 5
- July 2023, issue 4
- May 2023, issue 3
- March 2023, issue 2
- February 2023, issue 1
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December 2023, issue 7
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Volume 23 February - December 2022
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December 2022, issue 7
Special Issue : Risks related to environmental, social and governmental issues (ESG)
- October 2022, issue 6
- September 2022, issue 5
- July 2022, issue 4
- May 2022, issue 3
- March 2022, issue 2
- February 2022, issue 1
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December 2022, issue 7
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Volume 22 February - December 2021
- December 2021, issue 7
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October 2021, issue 6
Multiple alpha sources and portfolio design
- September 2021, issue 5
- July 2021, issue 4
- May 2021, issue 3
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March 2021, issue 2
Special Issue: Risks related to environmental, social and governmental issues (ESG)
- February 2021, issue 1
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Volume 21 February - December 2020
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December 2020, issue 7
Special issue in cooperation with the Chicago Quantitative Alliance
- October 2020, issue 6
- September 2020, issue 5
- July 2020, issue 4
- May 2020, issue 3
- March 2020, issue 2
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February 2020, issue 1
Special Issue: Risks related to environmental, social and governmental issues (ESG)
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December 2020, issue 7
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Volume 20 February - December 2019
- December 2019, issue 7
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October 2019, issue 6
Special Issue: The 12th Financial Risks International Forum of the Louis Bachelier Institute, Paris
- September 2019, issue 5
- July 2019, issue 4
- May 2019, issue 3
- March 2019, issue 2
- February 2019, issue 1
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Volume 19 January - December 2018
- December 2018, issue 7
- October 2018, issue 6
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September 2018, issue 5
Special Issue following the 11th Financial Risks International Forum of the Louis Bachelier Institute, Paris
- July 2018, issue 4
- May 2018, issue 3
- March 2018, issue 2
- January 2018, issue 1
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Volume 18 January - December 2017
- December 2017, issue 7
- October 2017, issue 6
- September 2017, issue 5
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July 2017, issue 4
Special Section on Derivatives and Hedge Funds
- May 2017, issue 3
- March 2017, issue 2
- January 2017, issue 1
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Volume 17 January - December 2016
- December 2016, issue 7
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October 2016, issue 6
Special Issue on Derivatives and Hedge Funds
- September 2016, issue 5
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July 2016, issue 4
Special Issue: Special Amundi edition
- May 2016, issue 3
- March 2016, issue 2
- January 2016, issue 1
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Volume 16 January - December 2015
- December 2015, issue 7
- November 2015, issue 6
- September 2015, issue 5
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July 2015, issue 4
Special Issue: Advances in Derivatives and Hedge Fund
- May 2015, issue 3
- March 2015, issue 2
- January 2015, issue 1
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Volume 15 February - December 2014
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Volume 14 February - December 2013
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Volume 13 February - December 2012
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Volume 12 April - December 2011
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Volume 11 April 2010 - February 2011
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February 2011, issue 6
Special Issue on Styles
- December 2010, issue 5
- October 2010, issue 4
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June 2010, issue 2-3
Special Issue: Asset and Liability Management/Liability-Driven Investment for Pension Funds
- April 2010, issue 1
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February 2011, issue 6
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Volume 10 April 2009 - February 2010
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Volume 9 May 2008 - February 2009
- February 2009, issue 6
- December 2008, issue 5
- October 2008, issue 4
- September 2008, issue 3
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July 2008, issue 2
Special Issue: Selected Topics in Investment Management and Research
- May 2008, issue 1
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Volume 8 May 2007 - February 2008
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Volume 7 May 2006 - March 2007
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Volume 6 June 2005 - March 2006
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Volume 5 June 2004 - April 2005
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Volume 4 June 2003 - April 2004
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Volume 3 July 2002 - March 2003
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Volume 2 June 2001 - March 2002
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Volume 1 July 2000 - April 2001