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Has Passive Investing Broken the Market? | Mike Green

Excess Returns

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Risks and Implications of Passive Investing

Exploring the potential risks of passive investing on market dynamics and fundamental investing, emphasizing the consequences of market efficiency and voting power imbalances. The chapter delves into the challenges and opportunities of managing market cap weighted index funds, leveraging strategies, and corporate governance considerations in the face of increasing passive investments. Discussions also touch on the impact of passive investing on macroeconomic analysis, inflation rates, and financial experiences of individuals in various economic sectors.

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