1. Modeling fund and portfolio risk: A bi‐modal approach to analyzing risk in turbulent markets1. Issue 1 (7th March 2015) Authors: Karagiannidis, Iordanis; Sykes Wilford, D. Journal: Review of financial economics Issue: Volume 25:Issue 1(2015) Page Start: 19 Record Type: Journal Article View Content: Available online (eLD content is only available in our Reading Rooms) ↗