
Farouk Jivraj - The Art & Science of Using Alternative Risk Premia (S7E12)
Flirting with Models
Navigating Alternative Risk Premium Strategies
This chapter explores the complexities of selecting alternative risk premium strategies amidst a diverse landscape of quantitative investment options. It outlines a structured framework for portfolio management that emphasizes understanding risk-return profiles and defining clear investment objectives. Additionally, it addresses the role of technology and innovation in shaping financial strategies while cautioning against overly complex approaches.
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