Excess Returns  cover image

A Deep Dive into Sector Investing with State Street's Matt Bartolini

Excess Returns

CHAPTER

Navigating Sector Investing Strategies

This chapter explores the implications of concentration in sector investing and its impact on future performance. It highlights the advantages of strategic sector rotation for alpha generation while discussing various methods and academic findings related to momentum and relative strength strategies. Additionally, the chapter analyzes how macroeconomic indicators affect sector performance and the importance of sector selection in investment portfolios.

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