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We study the portfolio performance of investment strategies that jointly apply both fundamental analysis and technical analysis. Compared with strategies that rely on one-dimensional fundamental or technical information, the integrated approach to fundamental and technical investing...
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DeMiguel, Garlappi, and Uppal (DGU, 2009) evaluate 14 models of optimal asset allocation and find that none can consistently outperform the 1/N naive diversification strategy, which highlights estimation-risk concerns. Building from Stevens (1998), we provide a useful dichotomous classification...
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