Economics, Econometrics and Finance
Capital Market Returns
100%
Factor Model
84%
Market Concentration
67%
Share
36%
Return
34%
Financial Economics
23%
Information
22%
Investors
20%
Bayesian
18%
Stock
17%
Selling
16%
Portfolio Selection
16%
Arbitrage
14%
Emerging Economies
13%
CAPM
11%
Finance
10%
Efficiency
9%
Seasoned Equity Offering
6%
International Bond
6%
Public Bond
6%
International Government
6%
Economy
6%
Price
6%
Portfolio Diversification
6%
Consumption
6%
Portfolio Choice
6%
Economics
6%
Securities
5%
Pricing
5%
Managers
5%
Social Sciences
Performance
37%
Strategy
15%
Diversification
13%
Examinations
13%
Evidence
10%
State
7%
Trust
7%
Stochastics
7%
Measure
7%
Diversification Strategy
6%
Performance Evaluation
6%
Persistence
6%
USA
6%
Efficiency
6%
Evaluation
6%
Markets
5%
Managers
5%
Approach
5%