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Summary of Results of Questionaire/Survey of Investment Professionals’ and
Academics’ Opinions on Academic Research on Fundamental Analysis and
Equity Market Anomalies citeseerx.ist.psu.edu/viewdoc/downlo…
Q1: Which risk model is most appropriate for risk calibration of an equity
trading strategy?
Q2: Which risk model(s) have you used in the last 12 months for risk calibration
of an equity trading strategy?
Q3: What effect do you think the current financial market will have on the use
and/or demand for each of the following? (Practitioner – BLACK / Academic –RED UNDERLINE)
Q4: For the following equity trading strategies, please indicate how successful
each has been over the past decade. (Practitioner – BLACK / Academic – RED UNDERLINE)
Q5: For the following equity trading strategies, how frequently each will be used over the next 5 years. (Practitioner – BLACK / Academic – RED UNDERLINE)
Q6: Over the last 12 months, how often have you used the following valuation
techniques in your work? (Practitioner – BLACK / Academic – RED UNDERLINE)
Q7: How frequently do you read or reference the following academic and
practitioner research for your work? (Practitioner – BLACK / Academic – RED
UNDERLINE)
Q8: How frequently do you read or reference the following new, unpublished
academic research for your work? (Practitioner – BLACK / Academic – RED
UNDERLINE)
Q9: How important is it that future academic research on fundamental analysis
and anomalies focus on the following? (Practitioner – BLACK / Academic –
RED UNDERLINE)
Q10: Overall, do academic research studies about anomalies/trading strategies
have appropriate emphasis on: (Practitioner – BLACK / Academic – RED)
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