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We empirically analyse the returns of both Italian and round-trip open-end funds managed by Italian asset management companies (SGRs) in the period 2003-2008. Taking into account a modified version of the capital asset pricing model (CAPM), we estimated a performance measure for each asset...
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Italian Abstract: Il lavoro analizza per la prima volta gli investimenti di portafoglio sottostanti i prodotti italiani del risparmio gestito detenuti dalle famiglie italiane nel periodo 2014-2016. Il portafoglio indiretto è risultato composto prevalentemente da titoli di Stato italiani, a...
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