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Controlling Misfit Risk in Multiple-Manager Investment Programs

Controlling Misfit Risk in Multiple-Manager Investment Programs

Paperback (01 Feb 2000)

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Publisher's Synopsis

Controlling Misfit Risk in Multiple–Manager Investment Programs is a practical, instructive guide which offers a solution to a challenge more and more institutions are facing–misfit risk. When a sponsor uses several managers for one asset class, style biases can cause the sponsor′s managers in aggregate to underperform the target despite each individual manager performing well against the manager′s benchmark. In this volume, the authors provide a straightforward analytical framework for evaluating and treating this potentially costly misfit problem.

Book information

ISBN: 9780943205434
Publisher: The Research Foundation of The Institute of Chartered Financial Analysts
Imprint: Wiley Blackwell
Pub date:
Language: English
Number of pages: 134
Weight: 226g
Height: 234mm
Width: 184mm
Spine width: 12mm