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About 7680 results found
Oct 18, 2022 ... A net 40 billion euros (39 billion US dollars) flowed into passive ESG ETFs in 2022 through August, the data shows. Just over half (53%) of the capital went to ...
Factor Investing | Minimum-variance strategies – which aim to reduce swings in portfolio prices and typically consider both share-price volatility and ...
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Dec 18, 2023 ... EMI can't use the current optimization strategy constraints placed on the portfolio to withdraw the $20 million the family requested, since IBM ...
Strategy building. Build and test (backtest and stress test) your multi-asset class investment strategies and receive comprehensive risk analytics of strategy ...
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Chapter 4 provides a conclusion. 1 The underlying strategies. 1.1 Low-volatility indices. The low-volatility strategy is a simplified approach that targets ...
Sep 4, 2020 ... ... strategy. Costs were then compared against the factor risk premia associated with these ETFs, using the Axioma Equity Factor Risk Model.2.
Jul 30, 2019 ... UniCredit has unveiled a pair of equity ETFs that deliver a factor-based strategy while incorporating environmental, social and governance ...
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Jun 19, 2023 ... 24 March 2003: Initial Composition. AIXTRON. IXOS Software. QIAGEN. AT&S. Jenoptik. Repower Systems. BB Biotech. Kontron.
Sep 27, 2021 ... To hear more about the launch and why FlexShares believes the timing is right to implement such strategies in emerging markets (EM), we caught ...
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Nov 11, 2019 ... ... strategy. With this strategy, which is also referred to as covered call, an investor buys the EURO STOXX 50 index. (price or total return ...
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