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Risk Management

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Someone told me that it’s all happening At the Zoo. In this case, it was Paul Simon in his 1967 title song…
Educational Alpha, State of the Industry, Risk Management, Hedge Funds, Asset Allocation
Milind Sharma and Aravind Ganesan have developed what they call the QMIT Leveraged Buyout Model—a trading…
State of the Industry, Risk Management, Hedge Funds, Asset Allocation
Liquidity vanishes when you need it most. That isn’t an especially original observation. It’s like saying…
State of the Industry, Risk Management, Hedge Funds
A new paper looks at how hedge funds adjust their information acquisition and trading behavior as analyst…
State of the Industry, Risk Management, Hedge Funds, Asset Allocation
A new paper takes an experimental look at “Active Risk Budgeting,” a method of portfolio construction that…
State of the Industry, Risk Management, Asset Allocation
Many investors with long horizons are increasing their allocation to private equity funds: to extract the…
State of the Industry, Risk Management, Private Equity, Private Debt
The Securities and Exchange Commission issued three no-action letters on the issue of research payments, in…
State of the Industry, Risk Management, Asset Allocation
There are reports that Google is preparing an announcement of “quantum supremacy” for later this year. If…
State of the Industry, Risk Management, Asset Allocation
Why can’t a fund manager simply subtract all fees and expenses from gross returns and present the…
State of the Industry, Risk Management, Manager Selection, Hedge Funds
The Sharpe ratio has long served as a simple but important item in the due diligence tool kit. Formulated by…
State of the Industry, Risk Management, Manager Selection, Hedge Funds
By standard definition, “ambiguity aversion” is the preference for known risks over unknown risks, the known…
State of the Industry, Risk Management, Manager Selection
By Bill Kelly, CEO, CAIA Association The adaptation to this week’s title harkens back to late 19th …
Asset Allocation, Risk Management, Educational Alpha
By Nicolas Rabener of FactorResearch INTRODUCTION Investors fear black swan events, although it can be argued…
State of the Industry, Risk Management, Asset Allocation
Daniel Hill, a research analyst for the global equity team at William Blair, has written an insightful piece…
State of the Industry, Risk Management
Algorithmic trading may fairly be said to have conquered the public equities world, although there are still…
State of the Industry, Risk Management